Investment Objective
This Fund aims to provide investors with capital growth and recurring income in the medium to long term through investments in securities of and securities relating to Malaysian companies which offer attractive yields and sustainable dividend payments
Investment Manager
OSK-UOB Unit Trust Management Bhd
The Trustee
HSBC (Malaysia) Trustee Berhad
Approved Fund Size
1,200 million
Inception price
Prevailing NAV
Financial Year End
30 September 2009
Investment Asset Allocation
70% to 98% of Net Asset Value - Investments in equity and equity-related securities of Malaysian companies which offer attractive yields and sustainable dividend payments. 2% - 30% of Net Asset Value - - Investments in liquid asset ,fixed income securities, money market instruments and deposits with licensed financial institutions
Investment Management Fee
1.50% of NAV
Investment Trustee Fee
0.08% of NAV
Investment Service Charge
Up to 5.5% of NAV
Investment horizon / Tenure
3 - 7 years
Distribution Policy
If any
Benchmark
FTSE Bursa Malaysia Emas Index
Next steps
Call us
Got a question? Call our Customer Care hotline at1300 88 6688, any time,
any day
Next steps
Call us
Got a question? Call our Customer Care hotline at1300 88 6688, any time,
any day
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