Think Asia. Think Active.
Malaysia’s equity market continues to demonstrate resilience amid global uncertainties, supported by strong domestic fundamentals and a diversified sectoral base.
Fund objective
The Fund seeks to provide a stable income* stream with medium to long-term capital growth.
* Income distributed to a Unit Holder will be reinvested into additional Units unless Unit Holder opts for the distribution to be paid out. "
Fund information
Lipper rating
-
MYR 0.7699
NAV as of 2025/09/25
-
MYR -0.0002
Daily $ Change
-
-0.03%
Daily % Change
Fund Type / Fund Category | Income / Equity |
Sales Charge: - Direct Investments - EPF-MIS |
Up to 5.00% of the NAV per unit Up to 3.00% of the NAV per unit (ePPA) 0.5% (i-Akaun) |
Annual Management Fee | Up to 1.50% of the Fund's NAV per annum |
Annual Trustee Fee | Up to 0.07% of the NAV per annum, subject to a minimum of RM18,000 per annum |
Income Distribution Policy | At least once a year, subject to the availability of income |
Risk Profile | Moderate |
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 | -0.44% | -0.19% | -5.78% | 14.49% | 15.99% | -6.44% | 343.35% |
Benchmark | -0.65% | -3.62% | -7.86% | 7.77% | -0.86% | -9.04% | 95.80% |
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 | 0.0392 | Income (100%) | 0.0392 | 5.12% |
2024/06/18 | 0.0382 | Income (100%) | 0.0382 | 4.52% |
2023/06/15 | 0.0331 | Income (100%) | 0.0331 | 4.55% |
2022/06/20 | 0.0270 | Income (100%) | 0.0270 | 3.63% |
2021/06/18 | 0.0270 | Income (100%) | 0.0270 | 3.44% |
2020/06/18 | 0.0352 | Income (100%) | 0.0352 | 4.64% |
2019/06/19 | 0.0409 | Income (100%) | 0.0396 | 4.77% |
2018/06/25 | 0.0448 | Income (100%) | 0.0446 | 5.11% |
2017/06/23 | 0.0439 | Income (100%) | 0.0436 | 4.94% |
2016/06/27 | 0.0402 | Income (100%) | 0.0396 | 4.86% |
2015/06/26 | 0.0415 | Income (100%) | 0.0408 | 5.03% |
2014/12/30 | 0.0515 | Income (100%) | 0.0505 | 6.06% |
Historical Distribution as of 05-Sep-2025
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- 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