Investment Objective
PIF aims to provide its unit holders with consistent income returns in the medium to long term
Investment strategy
The Fund intends to distribute income, if any on an annual basis.The income distribution may be declared at the end of each financial year or any specified period as may be approved by the Trustee
Investment Manager
HSBC (Malaysia) Trustee Bhd
Investment horizon / Tenure
Medium to Long Term
Investment Asset Allocation
Fixed Income instruments - max 100%, min - 80%.
Equities - max 20%, min - 0%.
Investment Service Charge
Nil
Investment Management Fee
1.0% of the Fund's NAV
Investment Trustee Fee
'0.08%p.a of the Fund's NAV

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