Maybank Global Constant Income Fund ("The Fund") is a Fixed Income (close-ended) fund under Income fund type.

The Fund aims to provide Unit Holders with income through investments in a portfolio of Fixed Income Securities.

The Fund seeks to achieve its investment objective by investing a minimum of 80% of the Fund's NAV in RM denominated Fixed Income Securities and/or foreign currency denominated Fixed Income Securities (foreign currency denominated Fixed Income Securities are Fixed Income Securities denominated in currencies other than RM). However, as the Fund approaches the Maturity Date, the manager may choose to invest in Liquid Assets and/or collective investment schemes to facilitate the payout of the proceeds to Unit Holders after the Maturity Date.

The Fund is launched on 15 May 2017, with an offer period of not more than 45 calendar days from the date of the Prospectus or such shorter period as determined by the Manager. The Fund Manager is Maybank Asset Management Sdn Bhd and the Trustee is SCBMB Trustee Berhad.

  • The fund is suitable for investors who:
    • With a moderate to high rish appetite;
    • Who have an investment horizon of 3 years; and
    • Who seek income distribution on an annual basis
  • Asset Allocation as follow:
    • A minimum of 80% of the Fund's NAV in Fixed Income Securities;
    • A maximum of 20% of the Fund's NAV in liquid assets.
  • The Fund will declare income distribution annually, subject to the availability of income, during the tenure of the Fund.
    Note: The Fund's income distributions are non-guaranteed and subject to the continuing abilities of the issuers of the Fund's investments to meet their respective financial obligations.
  • The benchmark is the prevailing 3-year Maybank fixed deposit rate as at the Commencement Date.
  • Sales Charge per Unit is up to 3.00% of the NAV per unit, exclusive of Goods and Services Tax ("GST").
  • The repurchase charge is Nil if redemption is made on maturity date. Any repurchase before the fund maturity will be charged as follows:
  • Transfer facility is RM10 per transfer.
  • Switching is not allowed for the Fund.
  • Base currency is Malaysian Ringgit.
  • Minimum Balance of Investment is 1,000 unit.
  • The Annual Management fee is Nil.
  • Trustee Fee is 0.03% per annum of the NAV of the Fund, (excluding foreign custodian fees and charges), accrued daily and payable monthly to the Trustee.
  • Minimum Initial Investment is RM1,000 and minimum additional investment is RM1,000 during the Offer Period only.
  • Minimum redemption amount is 1,000 units. Redemption monies to be paid within ten (10) calendar days from the date of redemption request is received by the Manager.
  • Cooling off period, unit holders may exercise cooling-off rights within six (6) business days commencing from the date the application of investment received by the Manager. This is however, only available on your first investment with the Manager.

Please refer to our nearest branch for more details about Maybank Global Constant Income Fund.


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