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Net Asset Value(s)

22 Oct 2010 07:00

RNS Number : 8155U
The Family Shariah Fund Ltd
22 October 2010
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The Family Shari'ah Fund Limited

('FSF' or the 'Company')

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NET ASSET VALUE

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The Directors today announce that the estimated Net Asset Value per ordinary share of US $0.01 each ("Ordinary Share") based on the estimated value of The Family Shari'ah Fund Limited provided by the Fund Administrator - Apex Fund Services (Ireland) Limited as atΒ 30 September 2010 -Β including incomeΒ wasΒ US $0.8910*.

The Net Asset Value position* as at 31 Aug 2010 and 30 September 2010 and the portfolio allocation as at 30 September 2010 is summarised below. Furthermore, the Investment Manager will shortly publish its market and Islamic finance market review which will be found on the Company's website at www.familyshariahfund.com/news.

Period 31 Aug 2010 (opening) - 30 Sep 2010 (closing)All figures in US$

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US$

Opening

Closing

Net Asset Value *

27,344,051

28,110,341

NAV* per Ordinary Share

0.8667

0.8910

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The investment manager made a new investment in a US real estate medical property. The property is expected to yield approximately 10% on an annual basis. The property comprises 172,232 square feet on 11.17 acres and is 100% leased for 11 years. The property is expected to yield approximately 10%.

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Asset Allocation:

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- 23.1% in Cash and Cash Like Instruments

- 21.1% in Islamic Income

- 29.7% in Equities

- 14.9% in Private Equity

- 11.2% in Real Estate

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Notes:

* All figures are unaudited. Also, as stated in the Admission Document, all private equity investments are subject to 6 monthly revaluations and therefore the net asset value as stated herein may differ from the actual position as at the dates reported.

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For further information, please contact:

The Family Office

Tel: +973 (17) 221177

Manoj Ranawat

Religare Capital Markets (Nomad and Broker)

Tel: +44 (0) 207 444 0800

James Pinner / Derek Crowhurst

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This announcement should be read in conjunction with the Admission Document. Terms defined in the Admission Document have the same meaning when used in this announcement.

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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.

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

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