About SEDCO Capital Global Technology Equity Feeder Fund
SEDCO Capital Global Technology Equity Feeder Fund is an investment fund profile on SNDUK. This page explains SEDCO Capital Global Technology Equity Feeder Fund performance, key fund facts, and investment strategy for investors comparing funds in Saudi Arabia.
SEDCO Capital Global Technology Equity Feeder Fund is managed by SEDCO Capital. Fund type: equity. Fund code: GTE. Assets under management: 1404427. Minimum investment: 10 ريال. Inception date: 3/10/2026.
SEDCO Capital Global Technology Equity Feeder Fund is an open-ended public feeder investment fund that is Shariah-compliant, managed by Saudi Economic and Development Securities Company (SEDCO Capital). The Fund aims to achieve capital growth for unit holders over the long term by investing its assets in the SEDCO Capital Global Technology Equity Passive Fund, the master fund, which is registered in Luxembourg and is Shariah-compliant.
The Fund operates under a feeder fund structure, whereby it invests its assets in the master fund rather than directly investing in equities through the feeder fund. The investment manager of the master fund makes investment decisions in a manner that achieves tracking of the benchmark index, while the master fund invests in all or a substantial portion of the securities comprising its benchmark index.
The master fund is based on the Dow Jones Islamic Market Global Tech Titans 50 5/10/40 Capped Index (USD) NTR, which is the benchmark index used to measure the performance of the master fund, while there is no separate benchmark index for the feeder fund itself. The Fund’s investment policy focuses on investing in the master fund, with the specified allocation to the master fund being 100% of the Fund’s net asset value. By virtue of its feeder fund structure, the Fund relies on the performance and investment strategy of the master fund to achieve its investment objective. The Fund is classified as a high-risk fund, and its risks are primarily associated with the nature of investing in global technology equities and fluctuations in equity markets, in addition to the risks associated with the master fund and the markets in which it invests.
Subscriptions and redemptions are processed on every business day from Sunday to Thursday. Requests must be submitted before 2:00 p.m. on the dealing day to be executed based on the valuation price on the following day, while requests submitted after 2:00 p.m. are treated as having been received on the next dealing day. The Fund’s net asset value and unit price are announced on the business day following the dealing day, while redemption proceeds are paid within a maximum period of five business days from the valuation day.
SEDCO Capital Global Technology Equity Feeder Fund fund details
SEDCO Capital Global Technology Equity Feeder Fund is managed by SEDCO Capital. The asset manager oversees portfolio decisions and fund operations for SEDCO Capital Global Technology Equity Feeder Fund.
SEDCO Capital Global Technology Equity Feeder Fund is classified as a equity fund, which shapes its risk profile and investment universe.
Investors can identify SEDCO Capital Global Technology Equity Feeder Fund in market data using fund code GTE.
SEDCO Capital Global Technology Equity Feeder Fund reports assets under management of 1404427.
The minimum investment amount to participate in SEDCO Capital Global Technology Equity Feeder Fund is 10 ريال.
SEDCO Capital Global Technology Equity Feeder Fund was launched on 3/10/2026, giving investors a track record to evaluate long-term performance.
SEDCO Capital Global Technology Equity Feeder Fund performance summary
Return over 1 week: +0.2174%. Return over 1 month: +0.4993%. Return over 3 months: +2.0564%. Return over since inception: +26.8561%.
Use this SNDUK fund page to review SEDCO Capital Global Technology Equity Feeder Fund returns, manager details, and strategy before investing.
SNDUK publishes SEDCO Capital Global Technology Equity Feeder Fund data to help investors compare investment funds in Saudi Arabia with transparent performance and fund information.
