Skip to content

Mutual Funds

Performance

Show Performance (%)
As of 30/11/2025
Currency 
MYR

As of 11/12/2025

NAV1 
RM1.0148
NAV Change1 
0.02%

RM0.0002

Average Annual Total Return NAV (%)
As of 30/11/2025

1 Yr 
3.97
3 Yrs 
5.04
5 Yrs 
3.27
10 Yrs 
Performance Inception 
4.05
08/12/2015

Fund Identifiers

Ratings