Fund Category
Equity/Income.
Date of Launching
20 April 2000.
Investment Objective
To provide Unit holders with a long-term investment opportunity that generates regular and competitive returns through a diversified portfolio of investments.
Principal Investment Strategy
The Fund will diversify its portfolio through asset allocation in equities,
fixed income securities and money market instruments and diversify its
equity portfolio through sectoral allocation in order to preserve the value
of the capital and generate competitive returns in the long run.
Asset Allocation
The Fund seeks to achieve its objective by investing up to 95% of its VOF in equities, while maintaining at least 5% in other capital market instruments, inclusive of liquid assets. The investment strategy will also be designed to preserve the capital of the Fund in the long-term period while at the same time to seek potential income from its investment.
source : Amanah Saham Bumiputera