Home
 Portfolio Manager
 Fund
 ETF
 Fund Tools
 Fund Selector
 Funds to Explore
 Category Quickrank
 Guaranteed Funds
 
Snapshot
Chart
Total Return
Portfolio
Rating & Risk
Management
Fees
KAF VISION FUND
Performance History
2019-12-31
Growth of $10,000 (MYR)
 
  • Fund
  • -5.65
  • 15.88
  • -33.98
  • 29.91
  • +/-Cat
  • -1.81
  • -1.81
  • -14.94
  • 16.66
  • +/-Idx
  • -
  • -
  • -
  • -
 
 
 
Category: Equity - Malaysia Mid/Small-cap
Index:
 
 
  • Trailing Returns(%)
  • 2020-01-16
  • YTD Return
  • 1.24
  • 1 Year
  • 26.02
  • 3 Years Annualised
  • -0.20
  • 5 Years Annualised
  • 4.80
Benchmarks
Fund Benchmark
FTSE Bursa Malaysia EMAS TR MYR
Morningstar Benchmark
 
Key Stats
  • Morningstar Category
  • Morningstar Rating™
    (2019-12-31)
  • Equity - Malaysia Mid/Small-cap
  • ISIN
  • Inception Date
  • -
  • 2000-03-01
  • NAV(2020-01-16)
  • Day Change
  • MYR 0.8886
  • -0.34%
  • Bid Price
  • Offer Price
  • -
  • -
  • Total Net Assets (Mil)
    (2019-12-31)
  • Total Expense Ratio
  • USD 13.65
  • -
  • Front Load Fee(Max)
  • Redemption Fee
  • 6.50 %
  • 0.00 %
  • Employee Provident Fund
  • Yes
  • Manager Name
  • Start Date
  • Suah Fun Tai
  • 2012-01-30
Advertisement
Investment Objective: KAF VISION FUND
 
The Fund’s investment objective is to provide Unit holders with medium to long-term capital growth. Maximum 65% of the Fund’s NAV will be invested in smaller capitalised companies with market capitalisation not exceeding RM1 billion at the time of purchase. Maximum 30% of the Fund’s NAV will be invested in larger capitalised companies with market capitalisation exceeding RM1 billion at the time of purchase.