LSEG Lipper Fund Awards Malaysia 2025 and
LSEG Lipper Fund Awards Global Islamic 2025 Winner,
Best Mixed Asset MYR Balance – Malaysia Fund Over 5 Years,
Malaysia Provident Funds, Malaysia Islamic Funds & Global Islamic Funds
Emphasising stability, our fund provides a comprehensive solution for investors seeking a diversified portfolio of Shariah-compliant investments. Through a strategic blend of shariah-compliant stocks and sukuk, the fund aims to enhance stability, minimise risk, and optimise potential returns for investors.
Maximising Growth & Income Potential
Embrace the dual benefits of growth and income with our meticulously crafted portfolio of shariah-compliant stocks and sukuk. This strategic fusion not only presents lucrative growth opportunities but also ensures a stable and consistent income stream for investors.
Anchored By Long-Term Key Investment Themes
The Fund’s current focus is on companies that will benefit from key investment themes centred around increasing FDI leading to higher domestic activities, tech/digitalisation and climate change – sectors that will help in navigating the ever-evolving market landscape more effectively.
History of strong investment performance
The fund has a history of strong investment performance, showcasing the effectiveness of our meticulous investment process. This track record highlights our commitment to delivering consistent returns and value to our investors.
Total net returns for period ending 29 February 2024 (%)
YTD: 5.95
3 year: 8.82
5 year: 36.23
10 year: 54.08
Source: Lipper. Past performance is not necessarily indicative of future performance. The performance is calculated on NAV-to-NAV basis.
NAV: Net asset value
The fund has a history of strong investment performance, showcasing the effectiveness of our meticulous investment process. This track record highlights our commitment to delivering consistent returns and value to our investors.
Total net returns for period ending 31 December 2024 (%)
Source: Lipper. Past performance is not necessarily indicative of future performance.
The performance is calculated on NAV-to-NAV basis.
YTD
17.16
3 year
19.32
5 year
44.38
10 year
68.42
NAV: Net asset value
The above information may contain projections or other forward-looking statements regarding future events, targets, management discipline or other expectations. There is no assurance that such events will occur, and the future course may be significantly different from that shown here.
Disclaimer:
The award herein is granted by LSEG Lipper with whom we are not related to.
Based on the Fund's portfolio returns as at 30 Nov 2024 the Volatility Factor (VF) for the Fund is as indicated in the table above and are classified as in the table (source: Lipper). "Very High" includes Funds with VF that are above 16.275, "High" includes Funds with VF that are above 12.035 but not more than 16.275, "Moderate" includes Funds with VF that are above 9.145 but not more than 12.035, "Low" includes Funds with VF that are above 5.095 but not more than 9.145 and "Very Low" includes Funds with VF that are above 0.000 but not more than 5.095 (source:FiMM). The VF means there is a possibility for the Funds in generating an upside return or downside return around this VF. The Volatility Class (VC) is assigned by Lipper based on quintile ranks of VF for qualified Funds. VF and VC are subject to monthly revision or at any interval which may be prescribed by FIMM from time to time. The Fund's portfolio may have changed since this date and there is no guarantee that the Funds will continue to have the same VF or VC in the future. Presently, only Funds launched in the market for at least 36 months will display the VF and its VC.
The LSEG Lipper Fund Awards, granted annually, highlight funds and fund companies that have excelled in delivering consistently strong risk-adjusted performance relative to their peers. The LSEG Lipper Fund Awards are based on the Lipper Leader for Consistent Return rating, which is a risk-adjusted performance measure calculated over 36, 60 and 120 months. The fund with the highest Lipper Leader for Consistent Return (Effective Return) value in each eligible classification wins the LSEG Lipper Fund Award. For more information, see lipperfundawards.com. Although LSEG makes reasonable efforts to ensure the accuracy and reliability of the data contained herein, their accuracy is not guaranteed by LSEG Lipper.
Contact your unit trust adviser or call our Customer Service at 03-2719 9271 for more information.