Overview

This is an actively managed, open-ended mutual fund designed for investors who are willing to embrace risk in pursuit of enhanced returns. With a strategic tilt toward equities and a foundation in dynamic asset allocation, this fund emphasizes value investing—seeking companies that are trading below their intrinsic worth, yet offer solid fundamentals and future earnings potential. The asset allocation shifts dynamically across equity, fixed income, and cash positions based on market outlook, macroeconomic signals, and valuation trends.

Objective of the Fund

To achieve long-term capital appreciation by investing in a diversified portfolio with a strong tilt toward equity, favoring value stocks, while dynamically managing asset allocation to enhance returns and mitigate risk.

Investment Strategy

The fund uses a four-pronged strategy of active management, equity investing, dynamic asset allocation, and value investing. It focuses on large- and mid-cap stocks with strong fundamentals while adjusting to fixed income during market volatility or overvaluation. Asset allocation is dynamically adjusted based on market conditions, valuations, and interest rates. The fund targets value stocks, investing in companies trading below their intrinsic value for long-term growth and a margin of safety.

Suitable for

This fund is ideal for risk-seeking investors who:

  • Have a long-term horizon and can handle short-term volatility.
  • Want active management and a value-focused strategy.
  • Prefer a dynamic, market-responsive approach.
  • Seek exposure to high-quality large- and mid-cap stocks.
  • Look to balance growth with risk control.

Fund Type

Open-end Equity Oriented Mutual Fund

Inception Date

March 18, 2020

NAV/Unit

BDT 10.00

Return Since Inception

83.29%

Size of the Fund

BDT 221 Million

Investment Universe

Share & Securities, IPO, FDR, Corporate bond, Treasury bill & Bond

Custodian

BRAC Bank Limited

Trustee

Sandhani Life Insurance Company Limited

Historical Performance

Strategy Name Since Inception 10Y 7Y 5Y 3Y 1Y 6M 3M YTD
Ekush First Unit Fund 111.51% 89.03% 88.49% 83.31% 70.34% 63.84% 58.16% 58.16% 58.16%
DSEX 22.00% - - 22.00% 22.00% 22.00% 22.00% 22.00% 22.00%
DS30 22.00% - - 22.00% 22.00% 22.00% 22.00% 22.00% 22.00%

Financial History

Financial Statement as on September 30, 2025 (Un-audited)

Financial Statement as on June 30, 2025 (Un-audited)

Financial Statement as on March 31, 2025 (Un-audited)

Financial Statement as on Dec 31, 2024 (Audited)

Financial Statement as on September 30, 2024 (Un-audited)

Financial Statement as on June 30, 2024 (Un-audited)

Financial Statement as on March 31, 2024 (Un-audited)

Financial Statement as on Dec 31, 2023 (Audited)

Financial Statement as on September 30, 2023 (Un-audited)

Financial Statement as on June 30, 2023 (Un-audited)

Financial Statement as on March 31, 2023 (Un-audited)

Financial Statement as on December 31, 2022 (Audited)

Financial Statement as on December 31, 2020 (Audited)

Financial Statement as on September 30, 2022 (Un-audited)

Financial Statement as on June 30, 2022 (Un-audited)

Financial Statement as on March 31, 2022 (Un-audited)

Financial Statement as on December 31, 2021 (Audited)

Financial Statement as on September 30, 2021 (Un-audited)

Financial Statement as on June 30, 2021 (Un-audited)

Financial Statement as on March 31, 2021 (Un-audited)

Financial Statement as on September 30, 2020 (Un-audited)

Financial Statement as on June 30, 2020 (Un-audited)

Portfolio

Portfolio as on September 30, 2025

Portfolio as on June 30, 2025

Portfolio as on March 31, 2025

Portfolio as on September 30, 2024

Portfolio as on March 31, 2024

Portfolio as on Dec 31, 2023

Portfolio as on September 30, 2023

Portfolio as on June 30, 2023

Portfolio as on March 31, 2023

Portfolio as on December 31, 2022

Portfolio as on September 30, 2022

Portfolio as on June 30, 2022

Portfolio as on March 31, 2022

Portfolio as on December 31, 2021

Portfolio as on September 30, 2021

Portfolio as on June 30, 2021

Portfolio as on March 31, 2021

Portfolio as on September 30, 2020

Portfolio as on June 30, 2020

Forms

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Registration Form

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Purchase Form

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Surrender Form

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SIP Form

Formation Docs

BSEC Registration Certificate

Prospectus

Trust Deed

Custodian Agreement

Investment Management Agreement

Dividend History

Year Annual Dividend
2024 5.00%
2023 2.50%
2022 0.00%
2021 26.00%
2020 8.00%