Saudi Bond Fund – HSBC SAUDI ARABIA LIMITED


Current Unit Price (27/04/2015) N/A
Change Since Previous close N/A
Previous close (27/04/2015) N/A
1 Year High (01/01/0001) N/A
1 Year Low (01/01/0001) N/A


Returns:

1 Month Return(%) N/A

6 Month Return(%) N/A

1 Year Return(%) N/A

3 Year Return(%) N/A
Currency: SAR Management Fee: 1.3%
Category: Bonds Local Sub Category: -
Date of Inception: 03/05/1997 Price at Inception: 10
Classification: Income & Growth Minimum Initial subscription: 7,500
Additional Subscription: 3,750 Portfolio Type: Open Ended
Listing/Registration: Kingdom of Saudi Arabia Risk: Low - Medium
Subscription deadline: - Redemption deadline: -
Valuation Date: Bi-Weekly Announced on: Sat. & Tue.
Fund Assets: - Fund Benchmark: -

Fund Objective:
To provide medium to long term growth.

Investment Policy:
Fund assets may be invested in Government and Commercial Bonds.




Fund Manager's Contact Information:
City: RIYADH Website: www.sabb.com
Address: - Email: [email protected]
P.O. Box: 9084 Telex: -
Postal Code: 11413 Telephone: 8001241212
Fax: 0096614616091 Mobile: -
Note: All funds facts are updated continuously, however, it's strongly recommended to revert to the respective fund manager for the latest information before making any investment decision.

Mutual Funds (Funds managed under HSBC SAUDI ARABIA LIMITED )

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