Amanah Saham Bumiputera

Amanah Saham Bumiputera
Type
Company
Amanah Saham Nasional Bhd
Investment Manager
Permodalan Nasional Berhad
Launch Date
02-Jan-1990

Overview

Objective

To generate long-term, consistent and competitive returns to the Unitholders (Malaysian Bumiputera) whilst ensuring the preservation of capital a minimal risk tolerance level.

Unit price is fixed at RM1.00 per unit. The Fund size is unlimited.
Financial Year End: 31 Dec
Distribution Policy: Annually, if any.

Investor Profile

Those who understand investment risk and reward and expect to benefit from long-term growth of the Fund through re-investment of distribution (if any) as well as to receive regular income (if any) on their capital.

Strategy

To diversify among asset classes between equity and other instruments depending on the country's economic situation, stock market conditions and interest rate movements. The Fund stresses on diversifying its equity portfolio through sectoral allocation in equities, money market and fixed income securities. The strategy is to preserve the value of the capital and generate competitive returns in the long term.

Fees & Transactions

Fees & Charges
Sales Charge 0.00%
Redemption FeeNone
Switching FeeNone
Free Switches YearlyN/A
Annual Management Fee1%
Transactions (Minimum)
InvestmentInitial: 10 units
Additional: 1 units
Regular InvestmentInitial: 10 units
Additional: 1 units
Account Balance 10 units
Switching 1 units

Downloads

Fund Documents
Prospectus Refer to company website or branch office.

 

Compare Amanah Saham Bumiputera with:

CategoryCompany

Funds:
Amanah Saham Nasional 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.