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Meezan Paidaar Munafa Plan 44

47 /100

Total AUM

Rs. 10M

Expense Ratio

0.15%

Category Rank

#36 of 66

AI Analyst Thesis
🐂 Bullish

Live NAV

Rs. 50.4700
0.00% 1D 0.00% YTD
Data As Of:
July 01, 2026

Interactive Performance

Rs.

Executive Summary

Institutional health checks and AI strategy overview.

Overall Score

47 / 100

Fund DNA X-Ray

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Health Checks

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

  • Underperforming: 1Y Return (0.00%) trails the category median (0.23%).

  • Volatile Path: Only 0 out of 36 months (0%) were positive over the last 3 years.

  • Cost Effective: Expense ratio (0.15%) is below the category median (0.15%).

AI Strategy X-Ray

In July 2026, Meezan Paidaar Munafa Plan-34 delivered a strong absolute return of 14.24% annualized, significantly outpacing its PKISRV benchmark return of 10.31%. This outperformance occurred amid a volatile equity market driven by geopolitical tensions and fluctuating oil prices, while the money market benefited from stable short-term rates and ample liquidity from SBP dollar purchases and foreign portfolio inflows. The fund’s conservative cash‑heavy positioning shielded it from equity market swings, allowing it to capture attractive short‑term yields. Overall, the macro environment of easing geopolitical risk premiums and supportive monetary conditions contributed to the fund’s robust monthly performance.

Key Manager Actions

  • During July, the fund retained its 100% cash allocation, with no notable shifts into equities or longer‑dated instruments. This consistent stance underscores the manager’s preference for liquidity amid ongoing market uncertainty.
  • The fund’s annualized return of 14.24% exceeded the benchmark by nearly 4 percentage points, driven by attractive short‑term deposit rates and the reinvestment of maturing TDRs at higher yields. The outperformance highlights the manager’s ability to source competitive Shariah‑compliant money‑market instruments.
  • Looking ahead, continued SBP reserve‑building activities and potential stabilization of geopolitical risks could keep short‑term rates supportive, offering steady returns for the plan. However, any sudden spike in inflation or policy rate changes would require the manager to reassess the duration and credit exposure of the cash portfolio.

Performance vs. Peers

Trailing absolute returns and consistency analysis.

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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