Eastspring small cap funds
WebSales Charge: - Direct Investments. - EPF-MIS. Up to 3.00% on NAV per Unit of Class. N/a. Annual Management Fee. Up to 1.25% of the Fund's NAV per annum. Annual Trustee Fee. 0.06% per annum of the Fund's NAV, subject to a minimum of RM18,000 per annum or its equivalent in the base currency (excluding foreign custodian fees and charges)
Eastspring small cap funds
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WebMar 30, 2024 · Sales Charge: - Direct Investments. - EPF-MIS. Up to 3.00% on NAV per Unit of Class. N/a. Annual Management Fee. Up to 1.25% of the Fund's NAV per annum. Annual Trustee Fee. 0.06% per annum of the Fund's NAV, subject to a minimum of RM18,000 per annum or its equivalent in the base currency (excluding foreign custodian … WebStart investing in Eastspring Investments Small-Cap Fund now via Regular Saving Plans with as low as MYR100 Please enable JavaScript to continue using this application. …
WebMar 17, 2024 · The Fund aims to maximise income* and capital appreciation by investing in the Eastspring Investments - Asian High Yield Bond Fund, which invests primarily^ in Asian high yield bonds. *Income distributed will be reinvested into additional Units in each Class unless Unit Holder opts for the distribution to be paid out.^primarily means at least … Webwww.eastspring.co.th. ... ttb smart port 4 explorer fund. ผลการดำาเนี้ินี้ งานี้และภาวะตลาด กล์และยุทธ์ สัดส่วนี้การลงทุนี้ ... GS Global small Cap.
WebEastspring Investments Small-cap Fund (0P00008MHU) Kuala Lumpur Create Alert Add to Watchlist 0.658 -0.000 -0.03% 07/04 - Closed. Currency in MYR ( Disclaimer ) Type: Fund Market: Malaysia... WebApr 11, 2024 · N/A. Annual Management Fee. Up to 0.50% of the Fund’s NAV per annum. Annual Trustee Fee. Up to RM2 billion - 0.03% of the Fund’s NAV per annum; Above RM2 billion - 0.015% of the Fund’s NAV per annum; subject to a minimum of RM15,000 per annum (excluding foreign custodian fees and charges) calculated and accrued daily. …
WebApr 13, 2024 · Eastspring Investments Wholesale Bond Fund Fund information Fund composition Fund performance Downloads Fund information MYR 1.0202 NAV as of 2024/04/07 MYR 0.0001 Daily $ Change 0.01% Daily % Change Favorite Fund objective The Fund aims to provide regular income stream* and capital growth to Unit Holders.
WebFUND INFORMATION Launch Date: 29 May 2001 Fund Category/Fund Type: Equity (small-cap)/growth Fund Size: RM846,939,233.23 Initial Offer Price: 0.5000 NAV per Unit: RM0.6554 EPF Investment Scheme: Yes ISIN No: MYU940000AA1 FEES, CHARGES AND EXPENSES Annual Management Fee: Up to 1.50% of the NAV per annum orb new farmWebApr 6, 2024 · INSIGHT LIQUID ABS FUND S INCOME FONDS (WKN / ISIN IE00BSM98W81) – Aktuelle Nachrichten zum Fonds, Kursdaten, Charts und Performance. orb mother locationWebApr 11, 2024 · Eastspring Investments Islamic Small-cap Fund Fifth Supplementary Prospectus 1 February 2024 Please read and understand the contents of the respective Funds Prospectuses / Info Memo (Principal and/or Supplemental) and the Deed (which shall be available upon request) before investing in the Fund. iplm softwareWebEastspring Inv Small-cap, Fund, performance Morningstar Eastspring Inv Small-cap Register to unlock ratings Performance Analysis Risk Price Portfolio People Parent … orb newportWebApr 7, 2024 · The Fund seeks to provide investor with long-term capital appreciation by investing in a diversified portfolio of collective investment schemes ("CIS"). Up to 3.00% of the NAV per unit. Up to 1.50% of the Fund’s NAV per annum. Up to 0.055% of the Fund’s NAV per annum (subject to a minimum of RM15,000 per annum). orb motherWebPerformance charts for Eastspring Investments Islamic Small Cap Fund (ESIISSC) including intraday, historical and comparison charts, technical analysis and trend lines. ipllyWebApr 13, 2024 · The Fund seeks to provide a high level of liquidity with reasonable returns by investing in a portfolio of money market and short-term debt instruments.Name of Class: Class CLaunch Date: 29 May 2003Name of Class: Class RLaunch Date: 20 December 2024With effect from 20 December 2024, the Fund will be split into Class C and Class R … iploca awards