Bankmuscat Oryx Fund (0P0000HOSH)

3.412 -0.040 (-1.10%)
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58.4M
Asset Allocation
Asset
Net %
Long %
Short %
Cash
2.17 2.17 0
Shares
97.83 97.83 0
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Value & Growth Measures
Ratios
Value
Category Average
P/E Ratio 8.17 8.68
Price to Book 2.05 1.72
Price to Sales 2.44 1.97
Price to Free Cash Flow 1.89 4.66
Dividend (Yield) 5.84 4.7
5 Years Earnings Growth 0 0
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Sector Allocation
Ratios
Value
Category Average
Basic Materials 43.090 47.790
Financial Services 28.080 20.490
Consumer Cyclical 13.060 13.060
Communication Services 5.120 8.160
Utilities 4.330 2.687
Energy 4.080 6.570
Industrials 1.410 9.237
Healthcare 0.540 0.540
Technology 0.290 0.290
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Ratios
Value
Category Average
Cash 2.174 2.174
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Region Allocation
Middle East
Emerging Market
Developed Market
Top Holdings
Name
Weight %
Chg. %
Last
Saudi_Arabia TASNEE 6.16 -4.19% 12.80
Qatar QNB 6.09 -1.44% 15.010
Saudi_Arabia SABIC 5.94 -0.64% 77.70
Saudi_Arabia YSCC 5.43 +0.55% 36.40
Saudi_Arabia Al Rajhi 5.10 -1.48% 86.40
Qatar Industries Qatar 4.55 +0.16% 12.920
Saudi_Arabia YANSAB 4.38 -0.66% 37.45
Saudi_Arabia AlHokair 4.34 -0.57% 17.40
Saudi_Arabia Jarir 4.33 -1.17% 15.22
Saudi_Arabia SABIC AgriNutrients 4.29 -0.96% 124.00
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