BIMB DANA AL-MUNSIF

Balanced
Jenis Dana
Income, Growth
Commencement Date
27 December 2001
Financial Year End
31 August
Investor Risk Profile
Moderate
Trustee
SCBMB Trustee Berhad
Benchmark
60:40 ratio of the “FBM Emas Shariah Index” and 12-month GIA of Bank Islam
Manager
BIMB Investment Management Berhad
Investment Objectives

The fund seeks to provide a steady and consistent income and capital appreciation of the Units over the medium to long-term period. Accordingly, returns shall be in the form of long-term capital growth and regular income distribution to the Unit Holders.
Note :
Any material change to the investment objective of the Fund would require Unit Holders’ approvals.

Asset Allocation

  • Equity: 40% – 60%
  • Sukuk & cash: 40% – 60%
The Manager may, in response to adverse market, economic, political and any other conditions, adopt a temporary defensive strategy by maintaining higher liquid asset/cash portions. When this happens, the asset allocation of the Fund will be altered accordingly.

Investor Profile

Suitable for investors who:

  • Seek a steady income and capital appreciation.
  • Have medium to long-term horizon.

Specific Risks Associated with the Fund

  • Specific Security Risk
  • Credit/Default Risk
  • Profit Rate Risk
  • Reclassification of Shariah Status Risk
  • Counterparty Risk

Investment Policy and Strategy

To meet the investment objective, the Fund will focus on well-established blue chip companies that could potentially pay sustainable dividends and achieve earnings growth. The Fund may also invest in small and medium-sized companies that could potentially embark on dividend payments. These investments are to provide high income-flow to the Fund for potential income distribution to Unit Holders.

Meanwhile, the investments in Sukuk are particularly for the purpose of generating the recurring income from expected regular profit payment. The investment in Sukuk must have a minimum AA3 rating by RAM or AA rating by MARC or equivalent rating rated by any recognised credit rating agency.

Distribution Policy

The Fund intends to pay out annual income distribution to Unit Holders if sufficient investment income has been accumulated during the year.