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3rd Quarter Results

1 Nov 2011 16:00

RNS Number : 2891R
The Family Shariah Fund Ltd
01 November 2011
 



FOR IMMEDIATE RELEASE 

Nov, 1 2011

 

 

THE FAMILY SHARI'AH FUND LIMITED

(the 'Company')

 

Quarterly Results

 

The Family Shari'ah Fund Limited, a multi-asset class fund providing investors with exposure to a variety of Shari'ah compliant investments predominantly outside of the GCC region, is pleased to announce its quarterly results for the quarter-ended 30 September 2011*.

 

The Company would also like to clarify the timing of future announcements for 2011 and 2012 as previously stated in the Company's Admission Document. These quarterly results, the financial timetable and a monthly investment manager's report are also available on the Company's website (www.familyshariahfund.com).

 

 

Note

*All figures are unaudited. Also, as stated in the Admission Document, all private equity investments are subject to revaluations and therefore the net asset value as stated herein may differ from the actual position as at the dates reported.

 

 

For further information, please contact: 

The Family Office (Investment Manager)

Tel: +973 17221177

Manoj Ranawat

Religare Capital Markets (Nominated Adviser and Broker)

Tel: +44 (0) 207 444 0800

James Pinner / Derek Crowhurst 

 

 

BALANCE SHEET AS AT SEP 30, 2011*

ASSETS

USD

Bank accounts

5,200,062

Cost of investment mutual funds

20,980,950

Cost of SUKUK Investment

2,182,804

App/(depr) Investment

(183,294)

SUKUK and other Receivable

135,053

Prepaid expenses

67,591

ASSETS TOTAL

28,383,166

LIABILITIES

Management fee payable

-

Expense payables

24,291

Directors and SSB fee payable

52,502

Due to the Investment Manager

7,289

LIABILITIES TOTAL

84,082

NET ASSET VALUE

28,299,084

SHAREHOLDER CAPITAL

The Family Shari'ah Fund Class A USD Series 1

28,299,084

SHAREHOLDER CAPITAL TOTAL

28,299,084

 

*All figures are unaudited. Also, as stated in the Admission Document, all private equity investments are subject to revaluations and therefore the net asset value as stated herein may differ from the actual position as at the dates reported.

 

 

 

 

 

PROFIT & LOSS STATEMENT FOR THE PERIOD JUL 1, 2011 TO SEP 30, 2011*

USD

Realised gain/(loss)

Realised gain/(loss)

636,237

Unrealised gain/(loss)

Unrealised p/l settled

(1,641,299)

Other income

SUKUK Income

33,345

Other income

Yield and other Income

110,752

Dividend income

Dividends income

-

Other expenses

Investment expense

(73,258)

Other expenses

Administrative expenses

(110,351)

Investment management fee expense

Management fee

-

TOTAL

(1,044,574)

 

*All figures are unaudited. Also, as stated in the Admission Document, all private equity investments are subject to revaluations and therefore the net asset value as stated herein may differ from the actual position as at the dates reported.

Asset Allocation as of Sep 30, 2011*

Assets Class

%

No. of investments

Market Value

Cash and Cash like Instruments

18.4%

1

5,200,062

Equities

27.3%

5

7,714,789

Islamic income

8.0%

1

2,267,772

Private Equity

19.1%

19

5,388,672

Alternative Investment

3.6%

1

1,008,671

Real Estate

23.6%

14

6,665,700

 

 

Top 5 Positions by Market value as of Sep 30, 2011*

Security

CCY

Quantity

Market Price

Market Value

iShares MSCI Emerging Market Islamic

USD

162,000

17.41

2,820,420

GE Capital Ltd Sukuk - 3.78% 26/11/2014

USD

2,175,000

1.0427

2,267,772

Allianz RCM Islamic Global Equity Opportunities Fund

USD

1781.1840

795.13

1,416,273

BNP Paribas Islamic Fund - Equity Optimiser

USD

10.8750

125,721

1,367,216

TFO Shari'ah SPD Fund

USD

1000.0000

1008,6711

1,008,671

 

 

*All figures are unaudited. Also, as stated in the Admission Document, all private equity investments are subject to revaluations and therefore the net asset value as stated herein may differ from the actual position as at the dates reported.

 

Financial Timetable for 2010 and 2011 announcements

Date

Event

Due to be announced by *

For 2011

For 2012

31 January

NAV

20 business days

Announced

28-Feb-2012

28/29 February

NAV

20 business days

Announced

28-Mar-2012

31 March

NAV

20 business days

Announced

30-Apr-2012

31 March

Quarterly Financial information

30 days

Announced

30-Apr-2012

30 April

NAV

20 business days

Announced

30-May-2012

31 May

NAV

20 business days

Announced

28-Jun-2012

30 June

NAV

20 business days

Announced

27-Jul-2012

30 June

Half Year results **

3 months

Announced

28-Sep-2012

31 July

NAV

20 business days

Announced

29-Aug-2012

31 August

NAV

20 business days

Announced

28-Sep-2012

30 September

NAV

20 business days

Announced

26-Oct-2012

30 September

Quarterly Financial information

30 days

Announced

30-Oct-2012

31 October

NAV

20 business days

28-Nov-2011

28-Nov-2012

30 November

NAV

20 business days

30-Dec-2011

3-Jan-2013

31 December

NAV

20 business days

28-Jan-2012

29-Jan-2013

31 December

Full Year results ***

6 Months

29-Apr-2012

30-Apr-2013

 

* As stated in Admission Document

** Although this is a fiscal quarter, limited quarterly financial information will not be disclosed as fuller half-year information will be produced

*** Although this is a fiscal quarter, limited quarterly financial information will not be disclosed as audited full-year information will be produced

 

 

 

 

Notes to Editors

The Family Shari'ah Fund Limited is the first multi-asset class fund to gain admission to AIM and provides investors with exposure to a variety of Shari'ah Compliant investments predominantly outside of the GCC region.

 

The Company's investing policy, as defined by the AIM Rules, is available on the Company's website at www.familyshariahfund.com/investing_policy.html.

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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