Alliance Optimal Income

Alliance Optimal Income
Type
Equity Malaysia
Company
Alliance Investment Mgmt Bhd
Investment Manager
Alliance Capital Asset Mgmt Sdn Bhd
Launch Date
02-Sep-2004

Overview

Objective

To provide Unitholders with a stable income that is potentially higher than the prevailing FD by investing in high dividend yielding portfolio of stocks and fixed income securities.

Financial Year End: August 31
Distribution Policy: Half yearly, if any.

Investor Profile

Suitable for investors who:

  • seek a stable income stream with potentially higher than the prevailing fixed deposit rates.
  • prefer a medium to long-term investment horizon (3-5 years) in order to achieve reasonable capital growth.
  • have a medium degree of risk tolerance.

Strategy

The strategic limit of asset allocation of the fund:

  • Equities allocation: Max 80% & Min 60%
  • Fixed Income & Liquid Assets: Max 40% & Min 20%
The investment process begins with a top-down view for asset allocation purposes and a bottom up view for stock selection purposes.

Fees & Transactions

Fees & Charges
Sales Charge 6.50%
Redemption FeeNone
Switching FeeUnlimited free switching between funds.
Free Switches YearlyN/A
Annual Management Fee1.5%
Management Expense Ratio (MER)1.75%
Transactions (Minimum)
InvestmentInitial: RM1,000
Additional: RM100
Regular InvestmentInitial: RM500
Additional: RM50
Account Balance 500 units
Switching RM1,000

Investment Return

Investment Return as at 2010-09-03
3 Month Return 1.46%
6 Month Return 2.01%
1 Year Return 3.31%
3 Year Return -5.07%
5 Year Return 27.71%
Investment performance information as on bid to bid basis. Nett distributions reinvested. For reference only.

Downloads

Fund Documents
Prospectus Refer to company website or branch office.

 

Compare Alliance Optimal Income with:

CategoryCompany
Equity Malaysia
Funds:
Alliance Investment Mgmt Bhd
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Investors are advised to read and understand the fund's prospectus before investing.