Funds Management
Funds Management
Section titled “Funds Management”Fund creation, lifecycle management, and operational oversight for Islamic investment funds.
Overview
Section titled “Overview”The Funds Management rail handles core fund operations:
- Fund creation — Set up new funds with Shariah-compliant investment mandates
- Fund lifecycle — Manage fund states (setup, active, suspended, liquidating, terminated)
- Investment policy — Define and enforce Shariah-compliant investment guidelines
- Fund administration — NAV oversight, unitholder register, corporate actions
- Regulatory filings — Produce regulatory submissions and prospectus updates
Key Concepts
Section titled “Key Concepts”| Concept | Description |
|---|---|
| Fund Vehicle | Legal structure (unit trust, investment company, limited partnership) |
| Investment Mandate | Approved universe of Shariah-compliant investments |
| AUM | Assets Under Management — total fund value |
| Trustee | Independent oversight entity for investor protection |
| Shariah Board | Advisory body ensuring fund operations comply with Islamic law |
Endpoints
Section titled “Endpoints”Refer to the API Explorer for interactive endpoint documentation.
Authentication
Section titled “Authentication”All endpoints require authentication via Bearer token or API key.
Rate Limiting
Section titled “Rate Limiting”Standard rate limits apply. See Rate Limiting for details.