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AL Mal UAE Equity Fund — Investor Relations & Filings

Ticker · AMCUAE ISIN · AEA003630026 Dubai Financial Market Financial and insurance activities
Filings indexed 239 across all filing types
Latest filing 2026-06-09 Fund Information / Fact…
Country AE United Arab Emirates
Listing Dubai Financial Market AMCUAE

About AL Mal UAE Equity Fund

https://www.almalcapital.com/

The AL Mal UAE Equity Fund is an investment vehicle managed by ALMAL CAPITAL PSC, designed to achieve medium to long-term capital growth and a reasonable level of income. The fund primarily invests in equities listed on the UAE Exchange. Leveraging ALMAL CAPITAL PSC's expertise in investment fund management, the fund aims to deliver sustainable value and long-term excess returns for its clients.

Recent filings

Filing Released Lang Actions
أداء الصندوق لشهر مايو 2026
Fund Information / Factsheet Classification · 95% confidence The document is clearly a fund factsheet (two separate fact sheets for a MENA equity fund and a UAE equity fund), containing NAV per unit, fund manager commentary, sector and geographic allocations, performance tables, top holdings, and fund information. It is concise, summary-level, and formatted as a factsheet rather than a full regulatory report or presentation. This matches the definition of Fund Information / Factsheet (FS).
2026-06-09 English
Fund Performance for the month of May 2026
Fund Information / Factsheet Classification · 92% confidence The document consists of two one- to two-page fund fact sheets (AI Mal MENA Equity and Al Mal UAE Equity), including NAV per unit, sector allocation, performance tables, top holdings, risk metrics, fund manager commentary, and basic fund details. It is a brief summary of key fund facts, financials, and market information, fitting the definition of a Fund Information / Factsheet rather than a full report, regulatory filing, or presentation.
2026-06-09 English
أداء الصندوق لشهر أبريل 2026
Fund Information / Factsheet Classification · 95% confidence The document is a multi-page investment fund fact sheet providing the fund’s NAV, performance data, sector and geographic allocation, top holdings, risk metrics, fund manager commentary, fund details (inception date, size, fees, ISIN, etc.) and disclaimers. It is a concise summary intended for investors, matching the definition of a Fund Information/Factsheet. There is no full financial report or regulatory filing, only a marketing/informational overview. Therefore, it is classified as FS.
2026-05-08 English
Fund Performance for the month of February 2026
Fund Information / Factsheet Classification · 94% confidence The document is a fund factsheet (“Al Mal MENA Equity Fact Sheet” and “Al Mal UAE Equity Fact Sheet”) providing a concise 1–2 page overview of fund NAV, performance, sector/geographic allocations, holdings, and fund details. This matches the Fund Information / Factsheet category.
2026-05-08 English
أداء الصندوق لشهر فبراير 2026
Fund Information / Factsheet Classification · 98% confidence The document is a fund factsheet: titled “Al Mal MENA Equity Fact Sheet” and “Al Mal UAE Equity Fact Sheet,” containing NAV, sector/geographic allocations, performance tables, top holdings, fund manager commentary, and fund details. This matches the definition of a Fund Information / Factsheet (FS).
2026-05-08 English
Fund Performance for the month of April 2026
Fund Information / Factsheet Classification · 95% confidence The document is a concise multi-page fund fact sheet presenting April 2026 NAV per unit, performance tables, sector/geographic allocations, top holdings, fund manager commentary, key fund terms (inception date, domicile, fees), and disclaimers. It is not a regulatory filing, earnings release, or management discussion but a brief investor-focused factsheet. This matches the “Fund Information / Factsheet” (FS) category.
2026-05-08 English

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