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MMF 12th Feb 2014 Fact Sheet
MMF 12th Feb 2014 Fact Sheet
0.04%
Fund Specifics
Fund Type Launch Currency Minimum Subscription Minimum Holding Period Minimum Holding Amount Subscription/Redemption Subscription/Redemption Notice Management Fee Subscription Fee Benchmark Registrar, Administrator & Custodian Open Ended 9th July 2012 US Dollar 25,000 units 1 month 1,000 units Weekly, Every Wednesday Weekly, Every Monday Up to 0.5% Up to 0.25% BisB 3-months NTD and STD Rates Gulf Custody Company Net Asset Value Fixed Deposits Cash Currency Weighted Maturity (Days) Number of Investments Number of Counterparties $13,613,225 99.7% 0.3% US$ 65.5% and BHD 34.5% 132 30 7
Historical Performance
US$MMF Period 1 week 4 weeks 8 weeks 12 weeks 51 weeks* Inception to Date (9th July 2012)
0.038% 0.183% 0.366% 1.019% 2.572% 4.080%
Annualized
1.98% 2.35% 2.36% 4.22% 2.59% N/A
Annualized
1.25% 1.25% 1.25% 1.25% 1.32% N/A
Annualized
1.55% 1.55% 1.55% 1.55% 1.77% N/A
P.O. Box 5240, Manama Kingdom of Bahrain Telephone: +973 17 51 51 37, Fax: +973 17 53 28 72 www.bisb.com
BisB MMF Company B.S.C. (c) registered with the Ministry of Industry and Commerce of Bahrain under CR No. 81322, and the CBB has authorized the BisB Mon ey Market Fund as a Bahrain domiciled Shariah complaint retail CIU. This report should not be considered as an offer to sell, or a solicitation to buy, units mentioned herein. Past performance is not necessarily a guide or indication of the future performance. The value of the investment in the fund is variable and may increase or decrease. Changes in currency rates and market conditions may have an adverse effect on the principal value, unit price and investment returns. The information contained herein has been compiled from sources believed to be reliable; however Bahrain Islamic Bank (BisB) does not guarantee its accuracy or completeness. This product may not be suitable for all recipients of this report and in case of any doubts, you should seek advice from your investment advisor. More information about the fund is available in the Prospectus and the Terms and Conditions contained in the Subscription Agreement. Please refer to the section headed Risk Factors for a summary of certain of the risks involved. This report is provided for information purposes only and may not be copied or distributed to any other person without the prior written consent of BisB. Note: Last valuation date of the Fund may be different from the date of this report.