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Al Rajhi Capital offers clients investment solutions that are designed to meet the needs of our clients in the provision of our discretionary management services.

Investment process

The Asset Management Department at Al Rahji Capital takes investment decisions on the basis of a sophisticated process known as “Top Down/Bottom Up.”

Quarterly Report

 

  • Unit Price
  • Change %
    • EQUITY FUNDS
    • Price Date
    • Present
    • Previous
    • Last Price
    • To Date
    • Inception
    • Local Share Fund
    • 7/24/2010
    • SAR 254.08
    • SAR 250.72
    • 1.34%
    • 4.51%
    • 154.08%
    • Global Equity Fund
    • 7/21/2010
    • $140.52
    • $140.35
    • 0.13%
    • -7.45%
    • 40.52%
    • GCC . Fund
    • 7/21/2010
    • SAR 73.73
    • SAR 73.74
    • -0.01%
    • 1.18%
    • -26.27%
    • Global Small Cap
    • 7/21/2010
    • $100.16
    • $99.88
    • 0.28%
    • -2.06%
    • 0.16%
    • European Fund - USD
    • 7/21/2010
    • $109.40
    • $108.63
    • 0.72%
    • -9.52%
    • 9.40%
    • Indian & china Equity Fund
    • 7/21/2010
    • $10.12
    • $10.03
    • 0.96%
    • 1.72%
    • 1.21%
    • Petro - Cement Sector Fund
    • 7/24/2010
    • SAR 7.12
    • SAR 6.99
    • 1.87%
    • 1.69%
    • -28.82%
  • Unit Price
  • Change %
    • Cash FUNDS
    • Price Date
    • Present
    • Previous
    • Last Price
    • To Date
    • Inception
    • SAR Commodity M'Ba Fund
    • 7/24/2010
    • SAR 135.79
    • SAR 135.77
    • 0.01%
    • 1.18%
    • 35.79%
    • Euro Commodity M'Ba Fund
    • 7/24/2010
    • € 115.60
    • € 115.59
    • 0.01%
    • 1.01%
    • 15.60%
  • Unit Price
  • Change %
    • Balanced FUNDS
    • Price Date
    • Present
    • Previous
    • Last Price
    • To Date
    • Inception
    • Balanced Fund 2
    • 7/21/2010
    • $1.8027
    • $1.8046
    • -0.11%
    • -0.86%
    • 80.27%
    • AL - Joharah Ladies FUND
    • 7/21/2010
    • $191.28
    • $191.33
    • -0.03%
    • -0.73%
    • 91.28%
    • Children Fund - USD
    • 7/21/2010
    • $186.81
    • $186.54
    • 0.15%
    • -1.17%
    • 86.81%
  • Unit Price
  • Performance
    • Realestate FUNDS
    • Inception Date
    • Update Date
    • Price
    • Distribution to Date
    • Cumulative NAV
    • Change since Inception