34 funds
| Fund name | Asset class | Net Asset Value (NAV) |
Daily Change | ||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| E001 | Eastspring Investments Small-cap Fund | Equity (small-cap) | 0.6524 2025/11/14 |
-0.0053 -0.8058% |
No | No | No | No | False | No | Grow capital | Aggressive | MYR | E001 | Malaysia |
| E002 | Eastspring Investments Growth Fund | Equity | 0.7227 2025/11/14 |
-0.0033 -0.4545% |
No | No | No | Yes | False | No | Grow capital | Moderately aggressive | MYR | E002 | Malaysia |
| E003 | Eastspring Investments Balanced Fund | Balanced | 0.9808 2025/11/14 |
-0.0017 -0.1730% |
No | No | Yes | Yes | False | No | Asset allocation | Moderate | MYR | E003 | Malaysia |
| E004 | Eastspring Investments Bond Fund | Bond | 0.6578 2025/11/14 |
0.0001 + 0.0152% |
No | No | Yes | No | False | No | Generate income | Conservative | MYR | E004 | Malaysia |
| E005 | Eastspring Investments Dana al-Ilham | Shariah equity | 0.6544 2025/11/14 |
-0.0038 -0.5773% |
Yes | No | No | Yes | False | No | Grow capital | Moderately aggressive | MYR | E005 | Malaysia |
| E006 | Eastspring Investments Dana al-Islah | Sukuk | 0.7334 2025/11/14 |
-0.0009 -0.1226% |
Yes | No | Yes | Yes | False | No | Asset allocation | Moderate | MYR | E006 | Malaysia |
| E008 | Eastspring Investments Cash Management Fund - Class C | Money market | 0.5837(CD) 2025/11/14 |
0.0000 0.0000% |
No | No | Yes | No | False | No | Provide liquidity | Conservative | MYR | E008 | Malaysia |
| E009 | Eastspring Investments Dynamic Fund | Mixed Asset | 0.9659 2025/11/13 |
0.0002 + 0.0207% |
No | No | No | Yes | False | No | Asset allocation | Moderately aggressive | MYR | E009 | Malaysia |
| E010 | Eastspring Investments Dana Dinamik | Mixed asset (Shariah) | 0.9331 2025/11/14 |
-0.0047 -0.5012% |
Yes | No | No | Yes | False | No | Asset allocation | Moderately aggressive | MYR | E010 | Malaysia |
| E012 | Eastspring Investments Equity Income Fund | Equity | 0.7722 2025/11/14 |
-0.0037 -0.4769% |
No | No | Yes | Yes | False | No | Enhance income | Moderate | MYR | E012 | Malaysia |
| E015 | Eastspring Investments Asia Pacific Equity MY Fund | Equity | 0.7887 2025/11/13 |
0.0036 + 0.4585% |
No | No | No | No | False | No | Grow capital | Aggressive | MYR | E015 | Asia Pacific ex Japan |
| E017 | Eastspring Investments Asia Select Income Fund | Mixed Asset | 0.7861 2025/11/13 |
0.0010 + 0.1274% |
No | Yes | Yes | No | False | No | Asset allocation | Moderately aggressive | MYR | E017 | Asia ex-Japan |
| E026 | Eastspring Investments Islamic Income Fund - Class C | Islamic money market | 0.5635(CD) 2025/11/14 |
0.0001 + 0.0177% |
Yes | No | Yes | No | False | No | Provide liquidity | Conservative | MYR | E026 | Malaysia |
| E033 | Eastspring Investments Global Emerging Markets Fund | Feeder fund (global equity) | 0.5273 2025/11/13 |
-0.0019 -0.3590% |
No | No | No | No | False | No | Grow capital | Aggressive | MYR | E033 | Global Emerging Markets |
| E047 | Eastspring Investments Dinasti Equity Fund | Shariah equity | 0.5149 2025/11/13 |
0.0054 + 1.0599% |
Yes | No | No | No | False | No | Grow capital | Aggressive | MYR | E047 | Greater China |
| E050 | Eastspring Investments MY Focus Fund | Equity | 1.0411 2025/11/14 |
-0.0059 -0.5635% |
No | No | No | Yes | False | No | Grow capital | Aggressive | MYR | E050 | Malaysia |
| E058 | Eastspring Investments Asia Pacific ex-Japan Target Return Fund | Equity | 0.5884 2025/11/13 |
0.0024 + 0.4096% |
No | No | No | No | False | No | Grow capital | Moderately aggressive | MYR | E058 | Asia Pacific ex Japan |
| E063 | Eastspring Investments Global Target Income Fund | Bond | 0.4384 2025/11/13 |
-0.0005 -0.1139% |
No | No | Yes | No | False | No | Generate income | Moderate | MYR | E063 | Global |
| E065 | Eastspring Investments Islamic Small-cap Fund | Equity (small-cap Shariah) | 0.6573 2025/11/14 |
-0.0066 -0.9941% |
Yes | No | No | No | False | No | Generate income | Aggressive | MYR | E065 | Malaysia |
| E066 | Eastspring Investments Islamic Equity Income Fund | Equity (Shariah) | 0.5913 2025/11/14 |
-0.0033 -0.5550% |
Yes | No | Yes | No | False | No | Enhance income | Moderate | MYR | E066 | Malaysia |
| E070 | Eastspring Investments Wholesale Sukuk Fund
Wholesale Fund |
Sukuk | 1.0596 2025/11/14 |
-0.0001 -0.0094% |
Yes | No | Yes | No | False | Yes | Provide liquidity | Conservative | MYR | E070 | Malaysia |
| E071 | Eastspring Investments Global Balanced Target Return Fund | Fund-of-Funds (Balanced) | 0.5700 2025/11/13 |
-0.0013 -0.2276% |
No | No | Yes | No | False | No | Asset allocation | Moderately aggressive | MYR | E071 | Global |
| E073 | Eastspring Investments Regular Investment Choice Fund | Fund-of-Funds (Equity) | 0.5238 2025/11/13 |
0.0000 0.0000% |
No | No | Yes | No | False | No | Grow capital | Moderately aggressive | MYR | E073 | Malaysia |
| E079 | Eastspring Investments Wholesale Bond Fund
Wholesale Fund |
Fixed income | 1.0384 2025/11/14 |
0.0001 + 0.0096% |
No | No | Yes | No | False | Yes | Conservative | MYR | E079 | Malaysia | |
| E081 | Eastspring Investments Short Term Bond Fund | Bond | 1.0234 2025/11/14 |
0.0001 + 0.0098% |
No | No | Yes | No | False | No | Conservative | MYR | E081 | ||
| E08R | Eastspring Investments Cash Management Fund - Class R | Money market | 0.5836(CD) 2025/11/14 |
0.0001 + 0.0171% |
No | No | Yes | Yes | False | No | Provide liquidity | Conservative | MYR | E08R | Malaysia |
| E26R | Eastspring Investments Islamic Income Fund - Class R | Islamic money market | 0.5691(CD) 2025/11/14 |
0.0000 0.0000% |
Yes | No | Yes | Yes | False | No | Provide liquidity | Conservative | MYR | E26R | Malaysia |
| E59M | Eastspring Investments Asian High Yield Bond MY Fund - RM Hedged Class
Wholesale Fund |
Wholesale (Feeder Fund) | 0.2927 2025/11/13 |
0.0001 + 0.0342% |
No | No | Yes | No | False | Yes | Generate income | Moderate | MYR | E59M | Asia ex-Japan |
| E60M | Eastspring Investments Japan Dynamic MY Fund - RM Hedged Class
Wholesale Fund |
Wholesale (Feeder Fund) | 1.3526 2025/11/13 |
-0.0050 -0.3683% |
No | No | No | No | False | Yes | Grow capital | Aggressive | MYR | E60M | Japan |
| E60MN | Eastspring Investments Japan Dynamic MY Fund - RM Class
Wholesale Fund |
Wholesale (Feeder Fund) | 0.5577 2025/11/13 |
-0.0010 -0.1790% |
No | No | No | No | False | Yes | Grow capital | Aggressive | MYR | E60MN | Japan |
| E76M | Eastspring Investments Islamic China A-Shares Fund | Equity (Shariah-compliant) | 0.4236 2025/11/13 |
0.0070 + 1.6803% |
Yes | No | Yes | No | False | No | Grow capital | Aggressive | MYR | E76M | China |
| E77M | Eastspring Investments Global Equity Fund | Fund-of-Funds (Equity) | 0.5974 2025/11/13 |
-0.0035 -0.5825% |
No | No | Yes | No | False | No | Grow capital | Moderately aggressive | MYR | E77M | Global |
| E80M | Eastspring Investments Dragon Peacock MY Fund | Feeder fund (equity) | 0.5950 2025/11/13 |
0.0020 + 0.3373% |
No | No | Yes | No | False | No | Aggressive | MYR | E80M | ||
| E82M | Eastspring Investments Asian Low Volatility Equity MY Fund | Feeder fund (equity) | 0.5400 2025/11/13 |
-0.0022 -0.4058% |
No | No | No | No | False | No | Grow capital | Aggressive | MYR | E82M |
Eastspring Investments Cash Management Fund - Class C
- Nav: 0.5837(CD)
(2025/11/14) - Daily price change: 0.0000
0.0000%
Eastspring Investments Equity Income Fund
- Nav: 0.7722
(2025/11/14) - Daily price change: -0.0037
-0.4769%
Eastspring Investments Asia Pacific Equity MY Fund
- Nav: 0.7887
(2025/11/13) - Daily price change: 0.0036
+ 0.4585%
Eastspring Investments Asia Select Income Fund
- Nav: 0.7861
(2025/11/13) - Daily price change: 0.0010
+ 0.1274%
Eastspring Investments Islamic Income Fund - Class C
- Nav: 0.5635(CD)
(2025/11/14) - Daily price change: 0.0001
+ 0.0177%
Eastspring Investments Global Emerging Markets Fund
- Nav: 0.5273
(2025/11/13) - Daily price change: -0.0019
-0.3590%
Eastspring Investments Dinasti Equity Fund
- Nav: 0.5149
(2025/11/13) - Daily price change: 0.0054
+ 1.0599%
Eastspring Investments Asia Pacific ex-Japan Target Return Fund
- Nav: 0.5884
(2025/11/13) - Daily price change: 0.0024
+ 0.4096%
Eastspring Investments Global Target Income Fund
- Nav: 0.4384
(2025/11/13) - Daily price change: -0.0005
-0.1139%
Eastspring Investments Islamic Small-cap Fund
- Nav: 0.6573
(2025/11/14) - Daily price change: -0.0066
-0.9941%
Eastspring Investments Islamic Equity Income Fund
- Nav: 0.5913
(2025/11/14) - Daily price change: -0.0033
-0.5550%
Eastspring Investments Wholesale Sukuk Fund
Wholesale Fund
- Nav: 1.0596
(2025/11/14) - Daily price change: -0.0001
-0.0094%
Eastspring Investments Global Balanced Target Return Fund
- Nav: 0.5700
(2025/11/13) - Daily price change: -0.0013
-0.2276%
Eastspring Investments Regular Investment Choice Fund
- Nav: 0.5238
(2025/11/13) - Daily price change: 0.0000
0.0000%
Eastspring Investments Wholesale Bond Fund
Wholesale Fund
- Nav: 1.0384
(2025/11/14) - Daily price change: 0.0001
+ 0.0096%
Eastspring Investments Short Term Bond Fund
- Nav: 1.0234
(2025/11/14) - Daily price change: 0.0001
+ 0.0098%
Eastspring Investments Cash Management Fund - Class R
- Nav: 0.5836(CD)
(2025/11/14) - Daily price change: 0.0001
+ 0.0171%
Eastspring Investments Islamic Income Fund - Class R
- Nav: 0.5691(CD)
(2025/11/14) - Daily price change: 0.0000
0.0000%
Eastspring Investments Asian High Yield Bond MY Fund - RM Hedged Class
Wholesale Fund
- Nav: 0.2927
(2025/11/13) - Daily price change: 0.0001
+ 0.0342%
Eastspring Investments Japan Dynamic MY Fund - RM Hedged Class
Wholesale Fund
- Nav: 1.3526
(2025/11/13) - Daily price change: -0.0050
-0.3683%
Eastspring Investments Japan Dynamic MY Fund - RM Class
Wholesale Fund
- Nav: 0.5577
(2025/11/13) - Daily price change: -0.0010
-0.1790%
Eastspring Investments Islamic China A-Shares Fund
- Nav: 0.4236
(2025/11/13) - Daily price change: 0.0070
+ 1.6803%
Eastspring Investments Global Equity Fund
- Nav: 0.5974
(2025/11/13) - Daily price change: -0.0035
-0.5825%
Eastspring Investments Dragon Peacock MY Fund
- Nav: 0.5950
(2025/11/13) - Daily price change: 0.0020
+ 0.3373%
Eastspring Investments Asian Low Volatility Equity MY Fund
- Nav: 0.5400
(2025/11/13) - Daily price change: -0.0022
-0.4058%