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Q1 Results

23 Apr 2009 11:37

RNS Number : 0469R
The Family Shariah Fund Ltd
23 April 2009
 



FOR IMMEDIATE RELEASE 

23 April 2009

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 third quarterly results for the period to 31 March 2009 following the commencement of trading of its shares on AIM on 25 July last year. 

The Company would also like to clarify the timing of future announcements in 2009 as previously stated in the Company's Admission Document. These quarterly results, the financial timetable and the latest monthly investment manager's report are also available on the Company's website (www.familyshariahfund.com).

For further information, please contact: 

The Family Office (Investment Manager)

Tel: +973 (17) 221177

Andrew Paine - CFO 

Richard Joye - Projects Manager

Blomfield Corporate Finance (Nominated Adviser)

Tel: +44 (0)20 7489 4500

James Pinner / John Simpson / Alan MacKenzie

Buchanan Communications (Public Relations)

Tel: +44 (0)20 7466 5000

Bobby Morse / James Strong

  

BALANCE SHEET AS AT MARCH 31, 2009

ASSETS

USD

Bank accounts

16,903,508.79

Cost of investment mutual funds

9,297,963.63

App/depr settled mutual funds

(1,602,728.13)

Murabaha Receivable

3,091,249.99

Deferred Incorporation Costs

766,355.16

Prepaid Marketing Fees

9,567.10

Prepaid Insurance

Prepaid License Fee

63,402.10

1,594.24

Prepaid Listing Fee

2,182.86

Prepaid Blomfield Fees

3,940.27

ASSETS TOTAL

28,537,036.01

LIABILITIES

Management fee payable

102,299.67

Administration fees payable

4,400.00

Audit fee payable

62,016.79

Shari'ah Supervisory Board Salaries & Fees Payable

136,494.73

Directors fee payable

20,000.00

Legal fees payable

48,737.35

Other expenses Payable

9,799.32

Due to the Placing Agent

867,262.49

Unearned Murabaha Income

30,000.18

LIABILITIES TOTAL

1,281,010.53

NET ASSET VALUE

27,256,025.48

SHAREHOLDER CAPITAL

The Family Shari'ah Fund Class A USD Series 1

27,256,025.48

SHAREHOLDER CAPITAL TOTAL

27,256,025.48

PROFIT & LOSS STATEMENT FOR THE PERIOD JANUARY 1, 2009 TO MARCH 31, 2009

YTD USD

Realised gain/loss

Realised gain/loss mutual funds

(499,275.37)

Unrealised gain/loss

Unrealised p/l settled mutual funds

(117,314.67)

Other income

Profit on Murabaha Trade

22,503.42 

Dividend income

Dividends income

3,968.60 

Other expenses

Organisation expense

(84,112.14)

Other expenses

Insurance expense

(54,344.70)

Other expenses

Shari'ah Supervisory Board Salaries & Fees

(44,810.67)

Other expenses

Directors fee expense

(20,000.00)

Other expenses

Commission

(7,317.23)

Other expenses

Administration fee expense

(13,200.00)

Other expenses

Audit fee expense

(12,205.48)

Other expenses

Professional Fees

(22,865.95)

Other expenses

Other Expenses

(61,106.81)

Investment management fee expense

Management fee

(102,300.28)

TOTAL

(1,012,381.29)

  

Positions as of  March 31, 2009

Security

CCY

Quantity

Market Price

Market Value

Alahli Diversified US Dollar Trade Fund

USD

2,526,875.9367

1.202300

3,038,062.94

AlAhli Emerging Markets Equity Fund

USD

691,045.3180

0.668100

461,687.38

Allianz RCM Islamic Global Equity Opportunities Fund

USD

1,470.090999

655.550000

963,718.15

iShares MSCI Emerging Market Islamic

USD

57,488.0000

11.670000

670,884.96

iShares MSCI World Islamic

USD

86,200.0000

14.940000

1,287,828.00

TFO Shari'ah Co-Investment Fund SPC - Class AA

USD

450.0000

958.781400

431,451.63

TFO Shari'ah Co-Investment Fund SPC - Class AB

USD

450.0000

701.058100

315,476.15

TFO Shari'ah Co-Investment fund SPC - Class Y

USD

450.0000

542.227700

244,002.47

TFO Shari'ah Co-Investments Fund SPC - Class X

USD

450.0000

626.941900

282,123.86

  Financial Timetable for 2008 and 2009 announcements

Date

Event

Due to be announced by *

For 2008

For 2009

31 January

NAV

20 business days 

N/a

27 February

28 February

NAV

20 business days

N/a

27 March

31 March

NAV

20 business days

N/a

29 April

31 March

Quarterly Financial information 

30 days

N/a

30 April

30 April

NAV

20 business days

N/a

28 May

31 May

NAV

20 business days

N/a

26 June

30 June

NAV

20 business days

N/a

28 July

30 June

Half Year results

3 months **

N/a

30 September

31 July

NAV

20 business days

19 August ****

28 August

31 August

NAV

20 business days

11 September ****

28 September

30 September

NAV

20 business days

13 October ****

28 October

30 September

Quarterly Financial information

30 days

5 November ****

30 October

31 October

NAV

20 business days

28 November

27 November

30 November

NAV

20 business days

24 December

24 December

31 December

NAV

20 business days

28 January 2009

28 January 2010

31 December

Full Year results

6 Months ***

30 April 2009

30 April 2010

* 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

**** Already announced

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