Safa Global Capital

Transparency

Show your work.

Real assets, real audits, real reporting. Below is the transparency framework Safa Global Capital is being built around. Live performance figures and audited statements will be published in offering documents to members and qualified investors as the platform launches.

Principles

Four standards we hold ourselves to.

01

Asset visibility

Every STAC tranche traces to identified, valued, and audited assets. Members receive asset-level statements with title, custody, and valuation references.

02

Document-first

No verbal commitments. Every right and obligation lives in subscription agreements, side letters, and Shariah opinions delivered before any commitment is binding.

03

Performance honesty

Returns are reported net of fees, against the actual portfolio performance, with attribution by asset class. No projected returns presented as actuals; no aggregated marketing figures detached from underlying assets.

04

Governance visibility

Quarterly Shariah Advisory Board minutes, annual governance review, and member-facing reporting on Investment Committee decisions and rationale.

Member reporting

What members will receive.

At admission
Subscription documents, risk acknowledgement, source-of-funds attestation, jurisdiction-specific investor declaration
Quarterly
Portfolio update by asset class, Shariah Advisory Board minutes, capital movement summary, governance decisions
Semi-annually
Independent asset verification report, mid-year management accounts
Annually
Audited financial statements (ISA), full Shariah audit (AAOIFI), valuation review, annual member meeting
On material event
Acquisition / disposal notices, asset re-valuation, governance changes, Shariah review outcomes affecting holdings

Get the reporting once it's live.

Live performance, audit reports, and member statements will be made available to admitted Safa Global Society members and qualified investors at launch.

Apply to Safa Global Society