KIB USD Money Market Fund
NAV (Net Asset Value)
(As of October 6th, 2026)
Annualized Returns
One Week
YTD
Since Inception
*Since October 1st, 2026
Absolute Returns
One Week
YTD
Since Inception
*Since October 1st, 2026
Fund Documents and Forms
Fact Sheets
Fact Sheet Disclaimer
Performance data and other information contained herein are unaudited and have been prepared for promotional purposes. Investments involve inherent risks and therefore, past performance does not guarantee future return. No substantial information has been omitted for the purpose of this factsheet, and it does not seek to make any investment recommendations to investors. The value of units of the fund can go up or down due to market conditions, as well as economic or political factors among others. The fund may not be suitable for all investors receiving the promotional document. Potential investors considering an investment in the fund should carefully review the articles of association and supporting documents available at KIB Invest's official website www.kibinvest.com, as well as consulting their wealth advisor.
Fund Announcements
Fund Features
Low minimum investment required
The fund’s low minimum required investment makes it an inclusive option for investors seeking professional fund management
Shariah-Compliant structure
The Fund’s shariah-compliant structure ensures your wealth is managed in adherence to Islamic principles and ethical standards.
Diversified equity exposure
Gain exposure to a diversified investment vehicle offering potential growth opportunities in the local market.
Competitive fee structure
Invest with zero subscription/redemption fees, and competitive management fees, thus providing you with a cost-effective way to manage your wealth.
Experienced team
The team comprises professionals with significant experience in asset management, aiming to deliver the highest risk-adjusted returns.
Fund Facts
Inception Date
October 1st, 2026
Currency
United States Dollars
Subscription fees
None
Fund Manager
Al Dawli Invest Investment Co.
Risk Characterization
Medium or High
Redemption fees
None
Asset Class
Equity or Equities
Subscription & Redemption
Monthly
Management fees
Up to 1.00%
Fund Structure
Open-ended
Minimum Subscription
$5,000
Registrar
Kuwait Clearing Company
External Auditor
Grant Thornton
Custodian & Inv. Controller
Kuwait International Trustee Co.
Fund Regulator
Capital Markets Authority
Shariah Auditor
Almashoura & Alraya
