Fund of Funds

Meezan Financial Planning Fund of Funds

Investment Objective

Meezan Financial Planning Fund of Funds objective is to generate returns on Investment as per respective allocation plans by investing in Shariah Compliant Fixed Income and Equity Mutual Funds in line with the risk tolerance of the Investor.

Aggressive Allocation Plan: The plan will seek to provide capital appreciation by investing a minimum of 65% of its net assets in Shariah Compliant Equity Funds with the remaining to be invested in Shariah Compliant Fixed Income Funds.

Moderate Allocation Plan: The plan will seek to provide a mix of capital appreciation and stable returns by investing a minimum of 45% of its net assets in Shariah Compliant Equity Funds with the remaining to be invested in Shariah Compliant Fixed Income Funds.

Conservative Allocation Plan: The plan will seek to provide stable returns by investing a minimum of 20% of its net assets in Shariah Compliant Equity Funds, with the remaining to be invested in Shariah Compliant Fixed Income Funds.

Very Conservative Allocation Plan: The plan will seek to provide stable returns by investing 100% of its net assets in Shariah Compliant Fixed Income/Money Market Funds.

Investment Strategy

The underlying allocation to Fixed Income/ Money Market and Equity Mutual Funds shall be fixed and the indicative percentages are stated below:
Indicative Minimum percentage allocation invested in Collective Investment Scheme(s)
Name of Allocation Plan(s) Equity Scheme(s) Fixed Income/Money Market Scheme(s)
1 Aggressive Allocation Plan 65% 25%
2 Moderate Allocation Plan 45% 45%
3 Conservative Allocation Plan 20% 70%
4 Very Conservative Allocation Plan - 100%

Benefits at a Glance

  • You can have access to top performing funds of Al Meezan, all having different investment strategies, through one investment vehicle i.e. Meezan Financial Planning Fund (MFPF).
  • No more worries about which fund to buy and sell, when to buy and sell, MFPF does all this for you automatically, and in a tax efficient manner.
  • Periodic rebalancing to maintain pre-defined allocation ensures focused investment strategy eliminating human intervention.
  • Professional Management of your savings by experienced fund managers with a proven track record
  • Under the supervision of a reputable Shariah Advisor; Dr. Muhammad Imran Ashraf Usmani

Choose this Fund If You Are Seeking

  • A targeted investment strategy for investment in order to achieve desired financial goals in life.
  • Investment in a disciplined manner through SIP, especially in risky funds and also having the comfort of not being penalized if one misses any monthly payment.
  • Different allocation strategies that suit varying risk profiles

Fund Facts

Fund Type

Open End

Fund Category

Fund of Funds

Launch Date

Aggressive, Moderate & Conservative Plan
12th Apr, 2013

Very Conservative Plan
22nd Aug, 2023

MAAP-I
10 Jul, 2015

Fund Size

Rs 0.93 Bn

as on May 31st, 2026

Benchmark

Combination of KMI-30 Index, 75% six (6) months PKISRV rates + 25% six (6) months average of the highest rates on saving account of three (3) AA rated scheduled Islamic Banks or Islamic windows of Conventional Banks as selected by MUFAP, and 90% three (3) months PKISRV rates + 10% three (3) months average of the highest rates on saving account of three (3) AA rated scheduled Islamic Banks or Islamic windows of Conventional Banks as selected by MUFAP on the basis of actual proportion held by the CIS.

Risk Profile

Medium to High

Plan Specific

Unit Types

Growth

Management Fee

1%

same as for underlying Funds and 1% on cash

Actual Rate of Management Fee

1%

Management fee of 1% on investments in Cash/ near cash instruments

Front End Load

Aggressive Plan 2.00%
Moderate Plan 1.5%
Conservative Plan 1.00%
Very Conservative Plan 1.00%
Other Plans 0% to 3%

Back End Load

Nil

Trustee

CDC

Central Depository Company

Listing

PSX

Pakistan Stock Exchange

Fund Manager

Asif Imtiaz

CFA

Asset Manager Rating

AM1

by VIS & PACRA

Initial / Subsequent Investment

Rs. 5,000 / Rs. 1,000

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Fund Performance

FY25 FY24 FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16
Aggressive 47.76% 55.25% 1.13% -5.35% 27.21% 6.86% -17.20% -12.00% 16.90% 13.30%
Benchmark 38.23% 60.30% 3.72% -6.88% 30.73% 5.86% -17.20% -6.40% 13.50% 11.70%
Moderate 36.27% 45.89% 5.29% 0.44% 20.83% 10.11% -9.20% -6.80% 13.30% 11.30%
Benchmark 30.86% 4.64% -3.54% 21.67% 7.83% -10.50% -3.30% 11.50% 10.00%
Conservative 23.79% 32.52% 9.81% 4.08% 12.93% 10.96% -1.00% -1.60% 9.70% 8.70%
Benchmark 22.11% 30.91% 5.59% -0.09% 12.19% 7.60% -3.50% -0.30% 7.60% 6.70%
V. Conservative 10.62% 19.42% - - - - - - - -
Benchmark 11.76% 15.60% - - - - - - - -
MAAP-I 46.47% 49.92% 3.20% -3.36% 27.25% 5.62% -18.50% -6.10% 18.80% 11.70%
Benchmark 33.85% 45.45% 3.74% -7.33% 30.91% 5.58% -16.40% -4.70% 16.70% 14.90%