AmMalaysia Equity

AmMalaysia Equity
Type
Equity Malaysia
Company
AmInvestment Services Bhd
Investment Manager
AmInvestment Mgmt Sdn Bhd
Launch Date
06-Nov-2001

Overview

Objective

The Fund’s investment objective is to provide long-term capital appreciation by investing in equity securities of companies listed on Bursa Malaysia Berhad.The Fund will invest in companies across a wide range of industries with above average growth potential.

Financial Year End: 31 Oct.
Distribution Policy: Incidental, if any.

(Fund name was changed from AmNew Frontier to AmMalaysia Equity on 17th March 2010 and now has a new Fund Objective)

Investor Profile

Best suited if you are seeking:

  • consistent capital returns in a fund that invests primarily in Malaysian equities;
  • active management of their investment portfolio;
  • capital growth rather than regular income distribution; and
  • to hedge inflation by buying into Malaysian equities.

Strategy

To achieve the investment objective, the Fund invests primarily in Malaysian equities.
Liquid assets may be strategically used for defensive measures in the short-term, if the Investment Manager views market risk to be high.

The Investment Manager will adopt a top-down investment approach followed by both quantitative and qualitative screens for stock selection.The Fund will actively balance between ‘growth’ and ‘defensive’ stocks depending on the Investment Manager’s view of the market cycle.The asset allocation and stock selection will be reviewed periodically depending on the country’s economic and stock market outlook.

The Fund may invest up to 25% in cash and liquid assets in the event the Investment
Manager feels that the market risk is high.

Asset Allocation:

  • Up to 98% of the Fund will be invested in equities and other permissible investments; and
  • at least 2% in cash and liquid assets.

Fees & Transactions

Fees & Charges
Sales Charge 6.00%
Redemption FeeNone
Switching Fee6% (However, it may be waived or varied at Manager discretion.)
Free Switches YearlyN/A
Annual Management Fee1.5%
Management Expense Ratio (MER)1.82%
Transactions (Minimum)
InvestmentInitial: RM1,000 / 1,000 units
Additional: RM500 / 500 units
Regular InvestmentInitial: RM1,000 / 1,000 units
Additional: RM500 / 500 units
Account Balance 1,000 units
Switching None

Investment Return

Investment Return as at 2010-09-03
3 Month Return 10.10%
6 Month Return 9.02%
1 Year Return 17.27%
3 Year Return 10.85%
5 Year Return 45.44%
Investment performance information as on bid to bid basis. Nett distributions reinvested. For reference only.

Downloads

Fund Documents
Prospectus AmInvest Master Prospectus

 

Compare AmMalaysia Equity with:

CategoryCompany
Equity Malaysia
Funds:
AmInvestment Services Bhd
Funds:


































































































































Copyright on names and logos used in this page belong to respective fund management companies.

Information in this fund profile page is compiled by Signalpoint Sdn. Bhd. based on the individual fund management company's public information, including but not limited to fund prospectus, fund fact sheets, etc, and are meant for information only. While best efforts have been made to ensure its accuracy, we cannot guarantee that the information presented here is completely accurate and without ommissions. Please contact issues@signalinvest.com if you believe there are errors or ommissions on this page.

Investors are advised to read and understand the fund's prospectus before investing.