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Fund Comparison

Ashmore GCC Diversified Trade Fund - Class BvsAljazira Asset Allocation Fund - Conservative Strategy

An objective, data-driven comparison of two funds — not investment advice.

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Multi-AssetShari'ah compliant
Manager
شركة اشمور للاستثمار السعودية
1-Year Return
3.5%
Management Fee
0.83%
Risk Level
Medium
Verdict
Strong returns at low risk and average fees — a good choice.

At a Glance

  • Aljazira Asset Allocation Fund - Conservative Strategy has lower fees (0.83% vs 0.58%).
  • Aljazira Asset Allocation Fund - Conservative Strategy returned more (3.5% vs 5.7%).
  • Aljazira Asset Allocation Fund - Conservative Strategy has lower risk.

Data updated periodically from official sources.

For informational purposes only — not investment advice. Past performance does not guarantee future results.