Hejaz Global Ethical Fund
A Sharia-compliant balanced fund combining global opportunity with faith-aligned investing.​
Inception Date
Jul 15, 2017
Fund Size
A$191.44M
As at Dec 31, 2025
Investment Horizon
5-7 years

About Hejaz Global Ethical Fund

The Hejaz Global Ethical Fund offers Sharia-compliant diversified investing in one fund.

It aims to balance growth and stability over time, while keeping investments aligned with Islamic principles.

About Hejaz Global Ethical FundAbout Hejaz Global Ethical Fund

Fund Features

AAOIFI-Aligned Sharia Screening
All investments are screened and monitored in accordance with AAOIFI Sharia standards through Hejaz’s Sharia governance framework.
Sharia Governance Framework
Investment decisions are guided by an established Sharia governance framework, including oversight of screening, monitoring and purification processes.
Global Reach
Diversified across international ethical companies
Positive Impact
Invests in companies making a positive difference
Sustainable Growth
Focus on long-term sustainable business models
Transparent Reporting
Regular impact and performance reporting

Fund Performance

Dec 31, 20251 Month3 Months6 Months1 Year3 Years (p.a.)5 Years (p.a.)Since Inception (p.a.)
Total Net Return-1.80%-1.22%0.39%3.84%5.37%2.82%4.11%
Benchmark0.63%-3.08%5.91%7.07%6.97%6.03%
Excess Return-2.43%--2.69%-2.07%-1.70%-4.15%-1.92%
Notes:
  1. CPI plus 3% p.a is adopted as the benchmark for Hejaz Global Ethical Fund.
  2. The portfolio’s inception date for performance calculation purposes is 15 July 2017.
  3. Total Net Return is the Fund return after the deduction of ongoing expenses based on end of month NAV unit price assuming reinvestment of all distributions.
  4. Past performance is not a reliable indicator of future performance
  5. Performance greater than 1 year is annualised

Fund Key Facts

Fund Size
A$191.44M
Dec 31, 2025
Benchmark
CPI plus 3% p.a.
Unit Price
A$1.0805
Dec 31, 2025
Management Fee
3.83% p.a.
Buy/Sell Spread
20/20 bpts.
Entry/Exit Fees
Nil
Performance Fee
0.22% p.a.
Geographic Exposure

Geographic Distribution

Regional Breakdown

Australia
70.0%
United States
18.3%
Europe
5.5%
Hong Kong
5.1%
Rest of the World
1.1%
Total100%

Holdings are subject to change.

Important Documents

Important Information

Hejaz Asset Management Pty Ltd (ABN 69 633 818 821, AFSL 550060) (“Hejaz Asset Management” or the Investment Manager”) is an Australian-based fund manager dedicated to the development and management of Sharia-compliant investment solutions. The Investment Manager applies investment processes in line with Islamic finance standards issued by the Accounting and Auditing Organization for Islamic Financial Institutions (AAOIFI) that relate to investment management. Hejaz Asset Management operates as part of the Hejaz Group, a diversified financial services organisation providing investment, superannuation, lending, and financial advisory services.

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