About Aman Fund - Faisal & CIB shariah compliant Fund
Aman Fund - Faisal & CIB shariah compliant Fund is an investment fund profile on SNDUK. This page explains Aman Fund - Faisal & CIB shariah compliant Fund performance, key fund facts, and investment strategy for investors comparing funds in Egypt.
Aman Fund - Faisal & CIB shariah compliant Fund is managed by سي آي لإدارة الأصول. Fund type: equity. Fund code: FCA. Assets under management: 831704275. Minimum investment: وثيقة واحدة. Inception date: 10/30/2006. IPO prospectus: نشرة اكتتاب صندوق أمان.pdf. نشرة اكتتاب صندوق أمان.pdf
Aman Fund is an open-ended investment fund that is compliant with Islamic Sharia principles. It was launched as a joint initiative between Faisal Islamic Bank of Egypt and the Commercial International Bank (CIB), and is managed by CI Asset Management. The fund aims to achieve long-term capital growth by primarily investing in Sharia-compliant equities, alongside other financial instruments such as Sukuk and Islamic bank deposits, within a flexible investment framework that balances growth and risk management.
The fund represents an advanced model of Islamic equity funds in the Egyptian market, as it is not limited to local equities but also extends to a diversified range of instruments including Global Depository Receipts (GDRs) and exposure to regional and international markets. This approach enhances the potential for above-average returns through well-structured geographic and sector diversification.
Aman Fund follows an active investment strategy that allows the fund manager to dynamically allocate assets based on market conditions. Equity exposure can range between 60% and 95% of net assets, while a portion is allocated to Sharia-compliant liquidity instruments such as Islamic bank deposits, providing a balance between growth potential and liquidity management.
The fund may also invest up to 20% of its assets in other mutual funds, with strict investment limits of 15% per single stock and 40% per sector, ensuring disciplined risk management and diversification.
Subscription Fees: 0.25% Redemption Fees: 0.25%
Aman Fund - Faisal & CIB shariah compliant Fund fund details
Aman Fund - Faisal & CIB shariah compliant Fund is managed by سي آي لإدارة الأصول. The asset manager oversees portfolio decisions and fund operations for Aman Fund - Faisal & CIB shariah compliant Fund.
Aman Fund - Faisal & CIB shariah compliant Fund is classified as a equity fund, which shapes its risk profile and investment universe.
Investors can identify Aman Fund - Faisal & CIB shariah compliant Fund in market data using fund code FCA.
Aman Fund - Faisal & CIB shariah compliant Fund reports assets under management of 831704275.
The minimum investment amount to participate in Aman Fund - Faisal & CIB shariah compliant Fund is وثيقة واحدة.
Aman Fund - Faisal & CIB shariah compliant Fund was launched on 10/30/2006, giving investors a track record to evaluate long-term performance.
Aman Fund - Faisal & CIB shariah compliant Fund performance summary
Return over 1 week: -0.9859%. Return over 1 month: -1.4076%. Return over 3 months: +10.6813%. Return over 6 months: +19.4442%. Return over 1 year: +50.5249%. Return over since inception: +368.2046%.
Use this SNDUK fund page to review Aman Fund - Faisal & CIB shariah compliant Fund returns, manager details, and strategy before investing.
SNDUK publishes Aman Fund - Faisal & CIB shariah compliant Fund data to help investors compare Egyptian investment funds with transparent performance and fund information.

