ABL Asset Management Limited's Fund Performance as of August 16, 2022

ABL Asset Management Limited's fund performance showed mixed results as of August 16, 2022, with some funds performing well and others experiencing declines. The ABL Stock Fund and ABL Income Fund were among the top-performing funds, with net asset values (NAV) of 13.8128 and 10.1137, respectively. On the other hand, the ABL FPF-Strategic Allocation Plan and ABL Islamic Stock Fund experienced declines, with NAVs of 79.1856 and 14.0839, respectively.

Key Takeaways:

  • The ABL Stock Fund, ABL Income Fund, and ABL Islamic Stock Fund were among the top performers, with NAVs of 13.8128, 10.1137, and 14.0839, respectively.
  • The ABL FPF-Strategic Allocation Plan and ABL Islamic Stock Fund experienced declines, with NAVs of 79.1856 and 14.0839, respectively.
  • The ABL Islamic Asset Allocation Fund and ABL IFPF-Conservative Allocation Plan performed relatively well, with NAVs of 10.0563 and 117.5203, respectively.
  • The ABL Special Savings Plan-I and ABL Special Savings Plan-III experienced declines, with NAVs of 10.2377 and 10.3256, respectively.
  • ABL Asset Management Limited has a range of funds catering to different investment objectives and risk appetites.

Statistics:

  • As of August 16, 2022, the ABL Stock Fund had a NAV of 13.8128.
  • The ABL Income Fund had a NAV of 10.1137 as of August 16, 2022.
  • The ABL FPF-Strategic Allocation Plan had an NAV of 79.1856 as of August 11, 2022.
  • The ABL Islamic Stock Fund had an NAV of 14.0839 as of August 15, 2022.
  • The ABL Islamic Asset Allocation Fund had an NAV of 10.0563 as of August 15, 2022.
  • ABL Asset Management Limited has a total of 37 funds under its management.

Sources:

  • ABL Asset Management Limited, "Fund Performance as of August 16, 2022", Publication Date: August 16, 2022.
  • ABL Asset Management Limited, "Fund Details", Publication Date: N/A.
  • ABL Asset Management Limited, "About Us", Publication Date: N/A.