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Snapshot
Chart
Total Return
Portfolio
Rating & Risk
Management
Fees
Advantage Global Equity Volatility Focused MYR Hedged Class
Performance History
2020-06-30
Growth of $10,000 (MYR)
 
  • Fund
  • 15.74
  • -9.75
  • 23.66
  • -10.10
  • +/-Cat
  • 8.61
  • 0.25
  • -1.60
  • -10.92
  • +/-Idx
  • 3.90
  • -2.25
  • -1.65
  • -8.30
 
 
 
Category: Equity - Global
Index: MSCI ACWI NR USD
 
 
  • Trailing Returns(%)
  • 2020-08-03
  • YTD Return
  • -4.29
  • 1 Year
  • 4.81
  • 3 Years Annualised
  • 2.34
  • 5 Years Annualised
  • -
Benchmarks
Fund Benchmark
Morningstar Benchmark
MSCI ACWI NR USD
 
Key Stats
  • Morningstar Category
  • Morningstar Rating™
    (2020-06-30)
  • Equity - Global
  • ISIN
  • Inception Date
  • MYU3000CC007
  • 2015-08-20
  • NAV(2020-08-03)
  • Day Change
  • MYR 1.1123
  • 1.20%
  • Bid Price
  • Offer Price
  • -
  • -
  • Total Net Assets (Mil)
    (2017-05-31)
  • Total Expense Ratio
    (2020-04-30)
  • USD 9.65
  • 0.41 %
  • Front Load Fee(Max)
  • Redemption Fee
  • 0.00 %
  • -
  • Employee Provident Fund
  • No
  • Manager Name
  • Start Date
  • Yew Joe Wong
  • 2019-08-05
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Investment Objective: Advantage Global Equity Volatility Focused MYR Hedged Class
 
The Fund aims to provide long term total return from a combination of income* and capital growth by investing in a portfolio of global equities.