Overview
Objective
To achieve an investment result that tracks the performance of the benchmark KLSE Composite Index.
Financial Year End: October 31
Investor Profile
Suitable for investors:
- desire returns that are consistent with the performance of the KLCI
- possess a moderate to high-risk tolerance and
- have an investment horizon exceeding 5 years.
Strategy
It is the Fund's policy to remain fully invested at all times to minimized the tracking error. The Fund under normal circumstances will be up to 99.5% invested. However, there are periods when the Fund needs to liquidate its holding of equities to meet redemption by unit holders. The heavy investment in equities is to ensure that the performance of the Fund reflects or mirrors that of the index as closely as possible.
Asset Allocation:
- 90% to 99.5% in Equities
- 0.5% to 10% in Liquid Assets.
Fees & Transactions
| Fees & Charges | |
|---|---|
| Sales Charge | 4.00% |
| Redemption Fee | None |
| Switching Fee | RM25 (Units switched are transacted at the targeted Funds NAV.) |
| Free Switches Yearly | N/A |
| Annual Management Fee | 1% |
| Management Expense Ratio (MER) | 1.24% |
| Transactions (Minimum) | |
|---|---|
| Investment | Initial: RM500 Additional: RM100 |
| Regular Investment | Initial: RM500 Additional: RM100 |
| Account Balance | 100 units |
| Switching | 1,000 units |
Investment Return
| Investment Return as at 2010-09-03 | |
|---|---|
| 3 Month Return | 10.08% |
| 6 Month Return | 10.52% |
| 1 Year Return | 22.78% |
| 3 Year Return | 23.41% |
| 5 Year Return | 73.34% |
| Investment performance information as on bid to bid basis. Nett distributions reinvested. For reference only. | |
Related Funds
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