Affin Money Market (matured)

Affin Money Market (matured)
Type
Money Market
Company
Affin Fund Mgmt Bhd
Investment Manager
Affin Fund Mgmt Sdn Bhd
Launch Date
13-Nov-2008

Overview

Objective

To provide short-term liquidity and income, whilst maintaining capital stability by investing in a diversified portfolio of money market instruments.

Initial Offer Period: Only 1 day on Launch Day on 13 Nov 2008 at RM0.50 per unit.
Financial Year End: 31 Aug
Distribution Policy: Quarterly, if any, and automatically reinvested into additional units of the Fund.

Investor Profile

Suitable for investors:

  • who seek regular income in a highly liquid investment,
  • who want diversification from other asset classes such as equities, fixed income securities and fixed deposits,
  • with a short-term investment horizon of 1 year and below.

Strategy

This Fund will be actively managed to provide liquidity to meet the short-term cash flow requirements of its Unit Holders while providing a reasonable level of current income. Consequently the investments of the Fund will be largely confined to short-term money market placements/instruments that are highly liquid and mature within 365 days.

The Fund will be structured as an open-ended fund with a target asset allocation of :

  • up to 90% invested in money market instruments as well as fixed income securities and placements of deposits with licensed financial institutions, all of which are highly liquid with maturity period less than 365 days.
  • up to 10% of the Fund may be invested in fixed income securities which have a remaining maturity period of more than 365 days but less than 732 days.
The investment approach is to invest a majority of the assets in short-to-medium term money market instruments with a focus on instruments that provide above-average yields compared to savings and fixed deposit rates while providing liquidity by effectively balancing risk and return across the portfolio as a whole.

Fees & Transactions

Fees & Charges
Sales Charge 0.00%
Redemption FeeNone
Switching FeeNone
Free Switches YearlyN/A
Annual Management Fee0.5%
Management Expense Ratio (MER)0.02%
Transactions (Minimum)
InvestmentInitial: RM5,000
Additional: RM1,000
Regular InvestmentInitial: N/A
Additional: N/A
Account Balance 10,000 units
Switching N/A

Investment Return

Investment Return as at 2010-04-05
3 Month Return 0.08%
6 Month Return 0.34%
1 Year Return 0.81%
3 Year Return
5 Year Return
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 Affin Money Market (matured) with:

CategoryCompany
Money Market
Funds:
Affin Fund Mgmt 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.