The first Kuwaiti managed
hedge fund in the Middle East

 
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To achieve a higher rate of return relative to the risk typically associated with traditional long-only stock market investment by using options and futures on major US indices while at the same time limiting the risk of significant losses. The fund seeks to provide investors with a consistent annual rate of return above 12%.
 
Al Tahawut is an actively managed fund investing in major US indices. The fund follows a market neutral strategy using short-term exchange traded options and futures, to hedge against moderate market moves thus providing low correlation to equity benchmarks. The fund manager seeks to profit from opportunities arising from changes in volatility and time decay.
 
Provides consistent high rates of return to investors.
Ability to generate positive returns during negative market conditions.
Protects assets and generated profits from significant losses.
Annual cash dividend distribution.
Monthly subscription and redemption.
Provides exposure to major US indices.
Actively managed by a team of Kuwaiti professionals who enjoy extensive experience in derivatives management.
Terms & Conditions

KD 50,000 - 149,999 = 2.0%
KD 150,000 -299,999 = 1.5%
KD 300,000 and above = 1.0%

50,000 Units or KD 50,000 Min.

Ernst & Young

 

Monthly



Performance Highlights








 








































 
















































                                      










 
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