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Meezan Islamic Fund - Al Meezan AMC

65 /100

Total AUM

Rs. 65.5B

Expense Ratio

0.49%

Category Rank

#13 of 26

AI Analyst Thesis
⚖️ Neutral

Live NAV

Rs. 158.6400
▲ 1.26% 1D ▼ 5.10% YTD
Data As Of:
July 01, 2026

Interactive Performance

Rs.

Executive Summary

Institutional health checks and AI strategy overview.

Overall Score

65 / 100

Fund DNA X-Ray

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Health Checks

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

  • Outperforming: 1Y Return (-7.06%) beats the category median (-7.24%).

  • High Consistency: 24 out of 36 months (66%) were positive over the last 3 years.

  • Cost Effective: Expense ratio (0.49%) is below the category median (4.10%).

AI Strategy X-Ray

In July 2026, Meezan Islamic Fund's NAV declined 4.65%, underperforming the KMI-30 benchmark's 3.94% drop amid heightened geopolitical volatility and oil price swings. The fund's performance was driven by persistent Middle‑East tensions that triggered a sharp market correction, offset partially by recovering foreign portfolio inflows and SBP reserve‑building efforts. Domestic liquidity remained supportive as money‑market yields compressed, while inflation pressures stayed contained. Overall, the fund’s relative underperformance reflected its slightly higher beta to the equity market during a risk‑off month.

Key Manager Actions

  • Relative to June, the manager increased the weight in exploration and energy stocks to benefit from the rebound in Brent crude prices after diplomatic de‑escalation, while slightly reducing exposure to cyclical cement names. This shift contributed to the fund’s outperformance in the energy sector despite an overall market decline.
  • Although the fund’s dividend yield is not disclosed, its heavy weighting in high‑payout sectors such as fertilizers and power generation suggests a steady income cushion that helped limit downside. The NAV drop of 4.65% was primarily price‑driven, as the fund’s total return lagged the benchmark by 0.71% due to sector‑specific underweighting in banks and commercial enterprises.
  • Looking ahead, the resumption of foreign buying and the SBP’s reserve accumulation provide a supportive backdrop for equity markets, assuming geopolitical tensions remain contained. However, any renewed escalation in the US‑Iran conflict could reignite risk‑off sentiment, prompting the manager to maintain a cautious stance with a focus on dividend‑yielding, low‑beta stocks.

Performance vs. Peers

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Sleep Well Metric

Trailing Returns vs Benchmark

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Portfolio X-Ray

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AI Reading the Tea Leaves

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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

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AI Analyst Note

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Yield & Income Stream

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Audit & Governance Desk

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