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HomeOUD Montreux Yield B

OUD Montreux Yield B

Latest Price NAV

USD
1032.90
as of
31/Jul/23

Objective

The Fund seeks to achieve an attractive target rate of return of 7.5% per annum, net of fees and expenses over a Medium-Term. The Fund will be investing a minimum of 90% of its NAV into The Montreux Healthcare Fixed Yield Fund (the Target Fund) and a maximum of 10% of its NAV into Islamic money market instruments, Islamic deposits with Islamic financial institution and/or cash.

Key Facts

Launch Date :
8/Jun/21
Asset Type :
Base Currency :
Total Net Asset (USD M) :
2.50
Benchmark :
Lipper Synthetic Risk Free Rate 7.5% USD
Dividend Type :
Income
Income Distribution :
Paid
Total Expense Ratio % :
1.32
Geographical Focus :
United Kingdom
Shariah Compliant
Shariah

Performance

3 Yrs Performance

N.A

5 Yrs Performance

N.A

10 Yrs Performance

N.A

Top Holdings

Portfolio Composition

Transaction Information

Annual Charges

Minimum Charge :
N.A
Maximum Charge:
1

Initial Charges

Minimum Charge :
N.A
Maximum Charge :
3
Actual Charge :
N.A

Redemption Charges

Minimum Charge :
N.A
Maximum Charge:
N.A
Actual Charge :
N.A

Contact

Company Name:
Oud Asset Mgmt
Website :
http://oudasset.com/