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NBP Islamic Mahana Amdani Fund - NBP AMC

49 /100

Total AUM

Rs. 28.9B

Expense Ratio

1.07%

Category Rank

#17 of 45

AI Analyst Thesis
🐂 Bullish

Live NAV

Rs. 10.3600
0.00% 1D ▲ 5.98% YTD
Data As Of:
August 01, 2026

Interactive Performance

Rs.

Executive Summary

Institutional health checks and AI strategy overview.

Overall Score

49 / 100

Fund DNA X-Ray

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Health Checks

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

  • Outperforming: 1Y Return (5.88%) beats the category median (5.53%).

  • High Consistency: 34 out of 36 months (94%) were positive over the last 3 years.

  • Cost Effective: Expense ratio (1.07%) is below the category median (1.30%).

  • Strong Momentum: Positive capital inflows (87.5% AUM growth).

AI Strategy X-Ray

The fund delivered 11.0% annualized return in August 2026, slightly below its benchmark of 11.1%, yet has historically outperformed by 0.7% p.a. since inception. This performance aligns with Pakistan's improving macroeconomic fundamentals, including fiscal deficit reduction to 2.6% of GDP, sovereign rating upgrades to B/B3, and strong corporate earnings growth of ~11% driven by oil & gas and banking sectors. Looking ahead, the manager anticipates continued double-digit equity returns supported by macro stability, attractive valuations (8x forward earnings), and expected declines in inflation and interest rates, which should benefit the fund's money market and government securities allocation.

Key Manager Actions

  • The fund significantly reduced its T-Bill allocation from 38.9% to 9.7% and increased cash holdings to 43.3%, while boosting Margin Trading Services exposure to 21.3% from 11.3%. Conversely, money market placements were cut sharply from 48% to 13.4%, reflecting a tactical move toward shorter-term liquidity and higher-yielding bank finance.
  • The fund's annualized return of 11.0% slightly trailed the benchmark's 11.1% for the month, yet its long-term outperformance of 0.7% p.a. stems from active management of short-term instruments. The weighted average maturity of 25 days and a yield-enhancing tilt toward MTS and bank placements have helped sustain returns above the benchmark over multi-year horizons.
  • With macroeconomic stability improving and inflation expected to decline, the manager anticipates further opportunities in short-term money market instruments. The fund's high liquidity and short duration position it to benefit from potential rate cuts, while maintaining a conservative risk profile to preserve capital.

Performance vs. Peers

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Sleep Well Metric

Trailing Returns vs Benchmark

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Portfolio X-Ray

Behavioral analysis, historical allocations, and conviction tracking.

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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The Magic Quadrant (Risk vs Return)

AI Analyst Note

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Yield & Income Stream

Payout reliability, capital preservation, and cashflow simulation.

Audit & Governance Desk

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