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ABL GOKP Pension Fund - ABL AMC

50 /100

Total AUM

Rs. 431M

Expense Ratio

1.50%

Category Rank

#1 of 26

AI Analyst Thesis
⚖️ Neutral

Live NAV

Rs. 135.1600
0.00% 1D ▲ 7.61% YTD
Data As Of:
August 01, 2026

Interactive Performance

Rs.

Executive Summary

Institutional health checks and AI strategy overview.

Overall Score

50 / 100

Fund DNA X-Ray

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Health Checks

  • Clean Portfolio: Zero non-compliant or provisioned assets detected.

  • Outperforming: 1Y Return (7.55%) beats the category median (6.89%).

  • High Consistency: 33 out of 36 months (93%) were positive over the last 3 years.

  • Expensive: Expense ratio (1.50%) is higher than the category median (0.70%).

AI Strategy X-Ray

In August 2026, the ABL GOKP Pension Fund's Equity Sub Fund posted a marginal negative return of -0.03%, underperforming the KSE-100 Index which rose 0.5% amid mixed market sentiment driven by geopolitical tensions and rising inflation. The fund's performance was anchored by a heavy tilt toward large-cap equities, which struggled to gain traction as investors remained cautious over higher oil prices and a widening trade deficit. Despite macroeconomic headwinds, the fund maintained a relatively stable NAV, reflecting the defensive nature of its holdings in banking and energy sectors.

Key Manager Actions

  • During August, the fund trimmed its equity exposure by about 2 percentage points, reallocating the proceeds into bank balances and cash to mitigate short‑term volatility. This tactical shift came amid rising inflation and geopolitical uncertainty, which weighed on investor sentiment toward cyclical sectors.
  • The fund’s return of -0.03% contrasted with the KSE‑100’s +0.5% gain, highlighting a slight underperformance driven by stock‑specific weakness in banking and cement counters. Despite the drag, the portfolio’s defensive tilt toward high‑quality, dividend‑paying stocks helped limit downside relative to broader market swings.
  • Looking ahead, the manager expects the equity sub‑fund to benefit from potential monetary‑policy easing and improvements in external balances, which could reignite investor confidence in Pakistani equities. Accordingly, the fund may gradually increase its weight in growth‑oriented sectors while maintaining a core holding of blue‑chip, low‑beta names.

Performance vs. Peers

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Sleep Well Metric

Trailing Returns vs Benchmark

Top Tier Alternatives

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Portfolio X-Ray

Behavioral analysis, historical allocations, and conviction tracking.

AI Reading the Tea Leaves

The Asset River (12M History)

Market Timing Visualizer

Concentration Style

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Broad/Index Aggressive Focus

Manager's Playbook (1M Delta)

Holdings DNA

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Risk & Quant Desk

Institutional engine diagnostics, crash testing, and momentum analysis.

The Magic Quadrant (Risk vs Return)

AI Analyst Note

Engine Diagnostics

Market Capture

Trend & Momentum

Yield & Income Stream

Payout reliability, capital preservation, and cashflow simulation.

Audit & Governance Desk

Fee drag simulation, operational security, and historical FMR vault.

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