Type of Fund
Growth
Tags
Global
SRI
Commencement Date
18 March 2011
Financial Year End
31 October
Benchmark
The Fund will be measured against an absolute return benchmark of 6% per annum.
This is not a guaranteed return and it is only a measurement of the Fund’s performance. The Fund may or may not achieve the aforesaid 6% per annum growth rate in any particular financial year but targets to achieve this growth rate through long term.
Investor Risk Profile
Moderate to High
Trustee
CIMB Islamic Trustee Berhad
Manager
BIMB Investment Management Berhad
Investment Objectives
Investment Objectives
Asset Allocation
70% to 98% of Fund’s NAV – Shariah-compliant equities, Shariah-compliant equity-related securities and Islamic CIS. 2% to 30% of the Fund’s NAV – Islamic money market instruments and Islamic deposits.
Investor Profile
Investor Profile
Specific Risks Associated with the Fund
Specific Risks Associated with the Fund
Investment Policy and Strategy
Investment Policy and Strategy
Distribution Policy
Distribution Policy
