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
Eastspring Investments MY Focus Fund
Growth of $10,000(MYR)
2019-08-31
Fund Eastspring Investments MY Focus Fund
Category: Equity - Malaysia Large-cap
Index: FTSE Bursa Malaysia 100 TR MYR
Annual Returns(%)
2019-08-31
  •  
  • 2012
  • 2013
  • 2014
  • 2015
  • 2016
  • 2017
  • 2018
  • YTD
  • Fund
  • 14.65
  • 45.36
  • 12.77
  • 11.50
  • -1.86
  • 21.40
  • -8.30
  • 2.07
  • +/-Cat
  • 3.79
  • 30.62
  • 15.64
  • 11.14
  • -1.38
  • 5.87
  • -1.32
  • 1.24
  • +/-Idx
  • 1.52
  • 30.54
  • 16.03
  • 11.50
  • -2.36
  • 5.07
  • -1.84
  • 2.29
Trailing Returns(%)
2019-09-13
  •  
  • Total Return
  • +/-Cat
  • +/-Idx
  • Rank in Morningstar
    Category
  • 1 Day
  • 0.09
  • -0.01
  • -0.20
  • 46 of 63
  • 1 Week
  • 0.84
  • 0.71
  • 0.55
  • 19 of 63
  • 1 Month
  • 1.43
  • 0.38
  • 0.92
  • 9 of 63
  • 3 Months
  • -0.52
  • 0.74
  • 1.56
  • 24 of 63
  • 6 Months
  • 0.55
  • 1.73
  • 2.73
  • 22 of 60
  • YTD Return
  • 2.37
  • 2.01
  • 2.93
  • 19 of 60
  • 1 Year
  • -5.47
  • 1.90
  • 1.09
  • 20 of 59
  • 3 Years Annualised
  • 4.49
  • 3.05
  • 2.28
  • 6 of 54
  • 5 Years Annualised
  • 2.69
  • 2.79
  • 1.99
  • 3 of 48
  • 10 Years Annualised
  • -
  • -
  • -
  • -
  • Annualised Returns based on 2019-08-31
  • Rank in Morningstar Category is ranked according to funds’ returns, which are calculated base on Nav to Nav or Bid to Bid income reinvested basis, and 1 Day to 1 Year Rank in Morningstar Category will be updated concurrently with those trailing returns. Performance figures are presented in MYR.
Quarterly Returns(%)
2019-08-31
  •  
  • Quarter 1
  • Quarter 2
  • Quarter 3
  • Quarter 4
  • 2019
  • 1.11
  • 4.34
  • -
  • -
  • 2018
  • -1.60
  • -2.55
  • 4.35
  • -8.36
  • 2017
  • 13.75
  • 4.95
  • -1.02
  • 2.74
  • 2016
  • -0.12
  • 2.52
  • -0.83
  • -3.35
  • 2015
  • 7.64
  • -1.06
  • -4.55
  • 9.69
  • 2014
  • 13.35
  • 5.41
  • 5.40
  • -10.45
  • 2013
  • 1.85
  • 16.69
  • 7.57
  • 13.69
  • 2012
  • 4.29
  • 1.75
  • 2.47
  • 5.44
Advertisement