Think Asia. Think Active.
Malaysia’s bond market is one of the most developed in Asia, supported by strong domestic demand, attractive yields that offers a stable and diversified landscape for fixed income investing.
Fund objective
The Fund seeks to provide investors with a steady stream of income* returns by investing principally** in a portfolio of investment grade fixed income securities with exposure in non-investment grade fixed income securities which yield above average returns.
* Income distributed to a
Fund information
-
MYR 0.6605
NAV as of 2025/09/25
-
MYR -0.0003
Daily $ Change
-
-0.05%
Daily % Change
Fund Type / Fund Category | Income / Bond |
Sales Charge: - Direct Investments - EPF-MIS |
Nil N/A |
Annual Management Fee | Up to 1.00% of the Fund's NAV per annum |
Annual Trustee Fee | Up to 0.08% of the NAV per annum, subject to a minimum of RM30,000 per annum |
Income Distribution Policy | At least once a year, subject to the availability of income |
Risk Profile | Conservative |
Fund composition
Asset Allocations (%)
as of 31-Jul-2025
Top Holdings(%)
as of 31-Jul-2025
Returns
1M | 6M | 1Y | 3Y | 5Y | YTD | Since Inception | |
---|---|---|---|---|---|---|---|
Bid-bid | 0.49% | 2.90% | 4.10% | 14.45% | 13.06% | 3.21% | 179.61% |
Benchmark | 0.53% | 3.71% | 5.36% | 15.22% | 15.13% | 4.07% | 170.31% |
Returns (%) as of 31-Jul-2025
Historical Distribution
Declaration date | Gross distribution (RM) |
Type of distribution | Nett distribution (RM) |
Nett distribution yield |
---|---|---|---|---|
2025/06/16 | 0.0132 | Income (100%) | 0.0132 | 1.99% |
2024/12/16 | 0.0234 | Income (100%) | 0.0234 | 3.49% |
2023/12/15 | 0.0251 | Income (100%) | 0.0251 | 3.76% |
2022/12/16 | 0.0227 | Income (100%) | 0.0227 | 3.47% |
2021/12/20 | 0.0200 | Income (100%) | 0.0200 | 2.99% |
2020/12/17 | 0.0210 | Income (100%) | 0.0210 | 3.01% |
2019/12/17 | 0.0278 | Income (100%) | 0.0278 | 3.98% |
2018/12/26 | 0.0271 | Income (100%) | 0.0271 | 3.98% |
2017/12/27 | 0.0271 | Income (100%) | 0.0271 | 3.98% |
2016/12/27 | 0.0272 | Income (100%) | 0.0272 | 4.01% |
2015/12/29 | 0.0340 | Income (100%) | 0.0340 | 4.95% |
2014/12/30 | 0.0235 | Income (100%) | 0.0235 | 3.68% |
Historical Distribution as of 05-Sep-2025
Downloads
Download section requires Adobe Acrobat plugins. To download your free copy, please click here
To unzip the Supplementary Prospectuses, you will need an unzip application. To down load your free copy:
For PC, please click here
For Android please click here
For iPhone please click here
- The maintenance of this site is the responsibility of the Brand & Communications Department, Eastspring Investments Berhad.
- Any information that falls outside this designated area does not form part of the e-prospectus and that unit trusts are offered solely on the basis of the information contained in the e-prospectus. This unit trust fund is made available only to customers and prospective customers in Malaysia. A printed prospectus, supplemental prospectus and application form are also available at our office and all authorized agents/distributors. Please click here for a list of our offices.
How to invest
Through our unit trust consultants (UTC)
- Get personalised consultation and assisted application for our funds
Via a distributor
- Our funds are available through these institutional distributors
Distributor
- Affin Bank Berhad
- Alliance Bank Malaysia Berhad
- Hong Leong Bank Berhad
- Kenanga Investors Berhad
- OCBC Bank (Malaysia) Berhad
- RHB Bank Berhad
- TA Investment Management Berhad
- United Overseas Bank Berhad
- AmPrivate Bank
- UOB Kay Hian Wealth Advisors Sdn Bhd
- AmBank (M) Berhad
- Standard Chartered Bank Malaysia Berhad
- CIMB Bank Berhad