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AL Habib Stock Fund - AL Habib AMC

33 /100

Total AUM

Rs. 7.2B

Expense Ratio

4.49%

Category Rank

#19 of 28

AI Analyst Thesis
⚖️ Neutral

Live NAV

Rs. 147.0400
0.00% 1D ▼ 6.26% YTD
Data As Of:
August 01, 2026

Interactive Performance

Rs.

Executive Summary

Institutional health checks and AI strategy overview.

Overall Score

33 / 100

Fund DNA X-Ray

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Health Checks

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

  • Underperforming: 1Y Return (-8.91%) trails the category median (-6.03%).

  • High Consistency: 25 out of 36 months (69%) were positive over the last 3 years.

  • Expensive: Expense ratio (4.49%) is higher than the category median (3.91%).

  • Red Flag: Significant capital outflows detected (-56.3% drop in AUM).

AI Strategy X-Ray

In August 2026, AL Habib Islamic Stock Fund posted a YTD return of -2.18%, marginally outperforming its KMI 30 benchmark which returned -2.20%, delivering a 2 basis point edge. The fund’s absolute performance was dragged down by a challenging macro environment marked by accelerating headline inflation to 11.15% YoY, a widening trade deficit, and rising PIB yields that pressured equity valuations. Despite these headwinds, the KSE-100 managed a modest 0.5% gain, reflecting stabilizing investor sentiment amid geopolitical adjustments. The fund’s slight outperformance indicates effective stock selection within a broadly weak market.

Key Manager Actions

  • Compared with July, the fund increased its cash allocation from 1.79% to 3.67%, suggesting a modest defensive tilt amid rising yields. Equity exposure slightly decreased from 98.06% to 95.72%, with the reduction primarily coming from lower weight in Cement and Automobile sectors.
  • The fund’s YTD return of -2.18% slightly beat the benchmark’s -2.20%, delivering 2 bps of excess return despite a challenging inflationary backdrop. Dividend‑yield contributors such as Fauji Fertilizer and Lucky Cement helped cushion losses, while the fund’s turnover ratio of 5.92% indicates relatively low trading activity.
  • Looking ahead, the manager expects inflation to remain elevated but anticipates that stable remittance inflows and a potential easing of monetary tightening could support equity markets. Accordingly, the fund may maintain its overweight in Oil & Gas and Cement while selectively increasing exposure to high‑dividend, low‑beta stocks to navigate volatility.

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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