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Asset Management

Hejaz Equities Fund Active ETF (ASX:ISLM)

A Sharia-compliant global equity ETF offering exposure to international listed equities screened in accordance with Islamic investment principles.
Inception Date
Oct 17, 2022
INAV by Solactive
...
As at ...
Fund Size
A$105.32M
As at Mar 31, 2026
Investment Horizon
5-7 years
Background
Hejaz Shape
Hejaz Shape
About the Fund

About Hejaz Equities Active ETF

The Hejaz Equities Fund Active ETF is a Sharia-compliant global equity ETF designed to provide investors with diversified exposure to international listed equities.

The Fund invests in companies that meet Islamic investment principles and are screened in accordance with the Accounting and Auditing Organisation for Islamic Financial Institutions (AAOIFI) standards.

The Fund is actively managed and seeks to provide long-term capital growth by investing in a diversified portfolio of global equities that comply with Islamic investment principles.

The MSCI World Islamic Index (hedged into AUD) is used as a benchmark for performance comparison purposes only.

<p>About <em>Hejaz Equities Active ETF</em></p><p>About <em>Hejaz Equities Active ETF</em></p>
Hejaz Shape
What We Offer

Fund Features

Key features and benefits that make this fund unique.

AAOIFI-Aligned Sharia Screening
Investments are screened and monitored in accordance with the Accounting and Auditing Organisation for Islamic Financial Institutions (AAOIFI) standards.
Global Equity Exposure
Provides exposure to a diversified portfolio of international listed equities across multiple regions and sectors.
Active Portfolio Management
The portfolio is actively managed to maintain Sharia compliance and respond to changing market conditions.
ASX-Listed ETF
Traded on the Australian Securities Exchange under the code ISLM, providing investors with access to daily liquidity.
Transparent Fee Structure
Management fees are clearly disclosed. No performance fees apply.
Ongoing Disclosure
Regular portfolio and performance information is made available to investors.
Notes:
    Hejaz Shape
    Hejaz Shape
    Track Record

    Fund Performance

    Historical performance data showing fund returns across different time periods.

    Mar 31, 20261 Month3 Months6 Months1 Year3 Years (p.a.)Since Inception (p.a.)
    Total Net Return-8.36%-5.98% -4.85%1.81% 8.42% 7.87%
    Benchmark-5.30%0.68% 4.86% 23.29% 12.07% 14.41%
    Excess Return-3.06%-6.66%-9.71% -21.48%-3.65%-6.54%
    Notes:
    1. MSCI World Islamic Index (hedged into AUD) is adopted as the benchmark for Hejaz Equities Fund Active ETF
    2. The portfolio’s inception date for performance calculation purposes is 17 October 2022.
    3. Total Net Return is the Fund return after the deduction of ongoing expenses based on the end of month NAV unit price assuming reinvestment of all distributions.
    4. Performance greater than 1 year is annualised.
    5. Past performance is not a reliable indicator of future performance.
    Background
    Hejaz Shape
    Hejaz Shape
    Key Information

    Fund Key Facts

    Essential information about the fund structure, assets, and trading details.

    Fund Size
    A$105.32M
    (as at Mar 31, 2026)
    Exchange
    Australian Securities Exchange (ASX)
    Benchmark
    MSCI World Islamic Index (hedged into AUD)
    Unit Price
    A$1.0650
    (as at Mar 31, 2026)
    Fund Launch Date
    Oct 17, 2022
    Asset Class
    Australian Equities and International Equities
    Management Fee
    1.89% p.a.
    Buy/Sell Spread
    20/20 bpts
    Entry/Exit Fees
    Nil
    Performance Fee
    Nil
    Responsible Entity
    Equity Trustees Limited ABN 46 004 031 298 | AFSL 240975
    Investment Manager
    Hejaz Asset Management Pty Ltd ABN 69 613 618 821 | AFSL 550009
    Sharia Standard Authority
    Accounting and Auditing Organisation for Islamic Financial Institutions (AAOIFI)
    Distribution Frequency
    Re-investment
    * Please refer to fund documentation for distribution details
    Background
    Hejaz Shape
    Hejaz Shape
    Portfolio Composition

    Top 10 Holdings

    The fund's largest positions and their portfolio weights.

    Taiwan Semiconductor Manufacturing Co Ltd ADR
    7.40%
    Pop Mart International Group Ltd
    5.94%
    Exxon Mobil Corp
    5.48%
    Advanced Micro Devices
    5.35%
    Cisco Systems Inc
    5.18%
    BYD Company Ltd
    4.94%
    Air Products and Chemicals Inc
    4.44%
    Gaztransport Et Technigaz SA
    4.28%
    Roche Holding AG-Genusschein
    4.22%
    Monster Beverage Corp
    3.63%

    Holdings are subject to change.

    Background
    Hejaz Shape
    Hejaz Shape
    Investment Mix

    Asset Allocation

    Fund allocation across different asset classes.

    Asset Distribution

    Asset Breakdown

    International Equities
    62.7%
    Australian Equities
    21.2%
    Cash
    16.1%
    Total100.0%

    Holdings are subject to change.

    Background
    Hejaz Shape
    Hejaz Shape
    Regional Allocation

    Geographic Exposure

    Fund allocation across different geographic regions.

    Geographic Distribution

    Regional Breakdown

    United States
    40.4%
    Australia
    25.3%
    Europe
    16.2%
    Hong Kong
    18.1%
    Total100.0%

    Holdings are subject to change.

    Important Documents
    Important Documents
    Access Key Investment Information

    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.

    Looking to invest in Sharia-compliant global equities?

    Review the Product Disclosure Statement and consider whether this Fund is right for you before investing.