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Shifa Health Endowment Fund

Asset Management

Shifa health Endowment is a health endowment that meets the health and development needs inside and outside the city of Madinah. This endowment includes the coverage for health services, health awareness, establishing and developing of health facilities, contributing to providing advisory services, qualifying and hiring experts and specialists, and supporting developmental projects.

The distribution of profits received from the Fund shall be spent on health services, including the treatment of needy patients, providing health services and health insurance.

Fund Features

Shifa Health Endowment is a health endowment that meets the development and health needs inside and outside the city of Madinah.

  • The contribution in providing health services to those in need from individuals in society.
  • The participation in establishing and developing health facilities.
  • Giving hope to needy patients for life betterment and contributing to end their suffering.
  • The participation in achieving sustainable health development objectives.

Objective

To encourage voluntary community participation in non-profit developmental investment and effective contribution under the concept of social solidarity to participate in supporting Shifa Health Endowment across the Kingdom of Saudi Arabia to develop and invest its assets in the Fund in order to strengthen its value and grow its endowed capital, thereby benefiting the beneficiaries of the endowment, including the treatment of needy patients, providing health services and health insurance. The role of the Fund Manager is to invest the fund’s assets in a diversified portfolio across all asset classes to diversify risks, aiming to achieve the growth of the endowed capital, and, consequently, the endowed returns will be distributed to “Shifa Health Endowment” of no less than 70% of net profits annually.

Fund Type
Open Ended Public Multi Asset Waqf Fund
Fund Domicile
Saudi Arabia
Risk Level
High
Inception Date
initial public offering commenced on 25/09/1444H corresponding to 16/04/2023
Inception Price
SAR 1 Per Unit
Fund Currency
Saudi Riyals
Benchmark
The fund’s strategy does not track a benchmark but a composite index will be used to compare the performance, which includes:
  1. SAIBOR 3 months 60%
  2. S&P Saudi REIT Shariah Index 25%
  3. S&P Saudi Shariah Index 15%
Subscription Fee
No subscription fees will be implemented on the fund
Management Fee
0.40% annually of the fund’s net asset value or a performance fees of 10% of the total annual return of the fund before deducting fees and expenses at end of year, whichever is less.
Performance Fee
Nil
Minimum Subscription
SAR 1
Minimum Additional Subscription
SAR 1
Minimum Redemption
Not applicable
Valuation Frequency & Days
Daily - Sunday to Thursday
Redemption Days
Based on the nature of the Awqaf, the fund units cannot be redeemed or transferred.
Cut-Off Time & Day
Before 5 PM - Prior to the Valuation Day
Announcement
Following the Valuation Day
Fund Features
Fund Type Open Ended Public Multi Asset Waqf Fund
Fund Domicile Saudi Arabia
Risk Level High
Inception Date Initial public offering commenced on 25/09/1444H corresponding to 16/04/2023
Inception Price SAR 1 Per Unit
Fund Currency Saudi Riyals
Benchmark The fund’s strategy does not track a benchmark but a composite index will be used to compare the performance, which includes:
  1. SAIBOR 3 months 60%
  2. S&P Saudi REIT Shariah Index 25%
  3. S&P Saudi Shariah Index 15%
Subscription Fee No subscription fees will be implemented on the fund
Management Fee 0.40% annually of the fund’s net asset value or a performance fees of 10% of the total annual return of the fund before deducting fees and expenses at end of year, whichever is less.
Performance Fee Nil
Minimum Subscription SAR 1
Minimum Additional Subscription SAR 1
Minimum Redemption Not applicable
Valuation Frequency & Days Daily - Sunday to Thursday
Redemption Days Based on the nature of the Awqaf, the fund units cannot be redeemed or transferred.
Cut-Off Time & Day Daily - Sunday to Thursday Before 2:00 PM 
Announcement Following the Valuation Day

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