Monthly Fund Fact Sheet January 2015

Similar documents
AmM e t L i f e Ta k a f u l E q u i t y Fund

AmMetLife Takaful Equity Fund

Monthly Fund Fact Sheet December 2014

AmMetLife Ta k a f u l B a l a n c e d P l u s F u n d

AmMetLife Takaful Equity Fund

AmMetLife Takaful Equity Fund

AmMetLife Takaful Equity Fund - NAV

AmMetLife Takaful Equity Fund - NAV

AmMetLife Takaful Equity Fund

AmMetLife Takaful Equity Fund - NAV

TAKAFULINK DANA URUS FUND PROFILE 2016

Fund Fact Sheets. Active Bond Fund Active Balanced Fund Dana Imbang Asia Pacific Growth Fund

RESPONSIBILITY STATEMENT

TA DANA OPTIMIX RESPONSIBILITY STATEMENT

TAKAFULINK DANA BON FUND PROFILE 2016

FIRST SUPPLEMENTARY MASTER PROSPECTUS

KENANGA ISLAMIC BALANCED FUND

MANULIFE SHARIAH - DANA SUKUK

AMB DANA ARIF RESPONSIBILITY STATEMENT STATEMENTS OF DISCLAIMER

KENANGA SYARIAH GROWTH FUND

PRODUCT HIGHLIGHTS SHEET. for. Affin Hwang Aiiman Select Income Fund

PHEIM UNIT TRUSTS BERHAD ( A)

MAYBANK MALAYSIA EQUITY I FUND

MAYBANK MALAYSIA SUKUK FUND

BSN ISLAMIC TACTICAL FUND

AMB DANA IKHLAS RESPONSIBILITY STATEMENT STATEMENTS OF DISCLAIMER

AmanahRaya Islamic Equity Fund (ARIEF)

FIRST SUPPLEMENTARY MASTER PROSPECTUS

TA BRIC AND EMERGING MARKETS FUND

MANULIFE SHARIAH DANA SUKUK

BSN DANA AL-JADID STATEMENT OF DISCLAIMER

MANULIFE INVESTMENT AL-FAUZAN

EASTSPRING INVESTMENTS DANA AL-ILHAM

Manulife Investment-HW Shariah Flexi Fund

LIBRA ASnitaBOND FUND (ASnitaBOND)

Information Memorandum

TAKAFULINK DANA EKUITI DINASTI FUND PROFILE 2016

Information Memorandum

PUBLIC ISLAMIC ASIA DIVIDEND FUND

Monthly Review June 2018

PUBLIC ISLAMIC DIVIDEND FUND

AmanahRaya Islamic Equity Fund (ARIEF)

Monthly Review April 2018

PRODUCT HIGHLIGHTS SHEET CIMB ISLAMIC SMALL CAP FUND

BSN DANA SHARIAH MONEY MARKET

Eastspring Investments Dana Dinamik

Law of Banking and Security. DR. ZULKIFLI HASAN 15 th November 2011 Week IX

PRODUCT HIGHLIGHTS SHEET CIMB ISLAMIC SMALL CAP FUND

TA DANA FOKUS RESPONSIBILITY STATEMENT

MASTER PROSPECTUS THIS MASTER PROSPECTUS IS DATED 15 JULY 2016 AND IS VALID UNTIL 14 JULY Comprising 25 funds:

PRODUCT HIGHLIGHTS SHEET CIMB ISLAMIC AL-AZZAM EQUITY FUND

PUBLIC ASIA ITTIKAL FUND

PRODUCT HIGHLIGHTS SHEET CIMB ISLAMIC ENHANCED SUKUK FUND

MAYBANK SHARIAH ENHANCED CASH FUND ( the Fund )

RHB RETIREMENT SERIES. RHB Retirement Series Islamic Balanced Fund PRODUCT HIGHLIGHTS SHEET

PRODUCTHIGHLIGHTSSHEET

Enjoy your family moments and the flexibility to protect them.

HONG LEONG DANA MAA ROF

RESPONSIBILITY STATEMENT

PRODUCT HIGHLIGHTS SHEET CIMB ISLAMIC DALI EQUITY THEME FUND

AmFAMILY TAKAFUL BERHAD V

PUBLIC ITTIKAL FUND (P ITTIKAL)

EASTSPRING INVESTMENTS ISLAMIC SMALL-CAP FUND

KENANGA SHARIAH BALANCED FUND

Investments that stand the test of time

KENANGA SHARIAH BALANCED FUND

TAKAFUL IKHLAS GROWTH FUND AUGUST 2014

SHARIAH ONEPRS SCHEME KENANGA SHARIAH ONEPRS GROWTH FUND KENANGA SHARIAH ONEPRS MODERATE FUND KENANGA SHARIAH ONEPRS CONSERVATIVE FUND

PRODUCT HIGHLIGHTS SHEET

RHB RETIREMENT SERIES. RHB Retirement Series Islamic Equity Fund

HONG LEONG DANA MAKMUR

RHB DANA ISLAM RESPONSIBILITY STATEMENT

InterPac Dana Safi RESPONSIBILITY STATEMENT

DISCLOSURE DOCUMENT. THIS DISCLOSURE DOCUMENT IS DATED 18 AUgUST 2016.

MSM MALAYSIA HOLDINGS BERHAD (Company No.: K) (Incorporated in Malaysia under the Companies Act, 1965)

LIBRA DANA SAFA FUND (LDS)

KENANGA SHARIAH GROWTH OPPORTUNITIES FUND

MANULIFE INVESTMENT SHARIAH ASIA-PACIFIC FUND

Avenue of Choice for your Investment and Fund Raising

RESPONSIBILITY STATEMENTS

The Kenanga OnePRS Shariah Equity Fund has been certified as being Shariah-compliant by the Shariah Adviser appointed for this Fund.

MASTER PROSPECTUS THIS MASTER PROSPECTUS IS DATED 15 JULY Comprising 23 funds:

INVESTORS ARE ADVISED TO READ AND UNDERSTAND THE CONTENTS OF THE MASTER PROSPECTUS. IF IN DOUBT, PLEASE CONSULT A PROFESSIONAL ADVISER.

Master Prospectus (Shariah Funds)

TA BRIC & EMERGING MARKETS FUND

PRODUCT HIGHLIGHTS SHEET PACIFIC DANA MURNI

MAYBANK ASIAPAC EX-JAPAN EQUITY I FUND

RESPONSIBILITY STATEMENT

PUBLIC EHSAN MIXED ASSET CONSERVATIVE FUND

MANULIFE SHARIAH DANA EKUITI

PRODUCT HIGHLIGHTS SHEET

PUBLIC ASIA ITTIKAL FUND (PAIF)

TA DANA AFIF RESPONSIBILITY STATEMENT

HONG LEONG ASSET MANAGEMENT BHD HONG LEONG DANA MAA ROF

CIMB-Principal Balanced Fund

REVISED SHARIAH SCREENING METHODOLOGY -Dialogue Session with Public Listed Companies. Securities Commission Malaysia

KENANGA ISLAMIC MONEY MARKET FUND

TA SMALL CAP FUND RESPONSIBILITY STATEMENT

INVESTORS SHOULD RELY ON THEIR OWN EVALUATION TO ASSESS THE MERITS AND RISKS OF THE INVESTMENT.

PRODUCT HIGHLIGHTS SHEET CIMB ISLAMIC PRS PLUS* - CIMB ISLAMIC PRS PLUS CONSERVATIVE - CIMB ISLAMIC PRS PLUS MODERATE - CIMB ISLAMIC PRS PLUS GROWTH

Transcription:

AmMetLife Ta k a f u l E q u i t y Fund Moderate to High FTSE Bursa Malaysia Hijrah Shariah Index (a) Equity - Max 95% (b) Cash or cash equivalent Min 5% The Fund aims to provide the Customer with capital growth, over a medium to long-term investment horizon, mainly through investments in Malaysian securities with superior growth potential. s will be obtained via growth in unit price rather than income distribution. Equity - Linked 0.6363 0.6571 Summary of Funds Equity - Linked 3.27% 1.77% (1.08)% 4.04% 22.86% 31.42% FBM Hijrah Shariah Index 3.24 % 0.09% 2.28% 8.06% 18.76% 29.54% AmMetLife Takaful Equity Fund Performance AmMetLife Takaful Equity Fund - NAV

AmMetLife Ta k a f u l S u k u k Fund Low to Moderate AmIslamic 12 month General Investment Account rate (a) Fixed Income - Up to 95% (b) Cash and/or cash equivalent - minimum 5% The Fund aims to provide the certificate holder with an opportunity to gain higher than average income earned from Islamic fixed deposits, over a medium to long term investment horizon, mainly through investment in a diversified portfolio of Islamic fixed income securities. s to certificate holders will be obtained via growth in unit price of the Fund. Sukuk - Linked 0.5358 0.5381 Summary of Funds Sukuk - Linked 0.43% 0.69% 1.80% 4.55% 3.68% 7.62% GIA 0.27% 0.80% 1.61% 3.25% 6.62% 9.55% AmMetLife Takaful Sukuk Fund Performance AmMetLife Takaful Sukuk Fund - NAV

AmMetLife Ta k a f u l B a l a n c e d Fund Moderate a) 60% - FTSE Bursa Malaysia Hijrah Syariah Index (or FBMHS ) Equity b) 40% - AmIslamic 12 month General Investment Account rate - Fixed Income c) Equity Max 70% d) Fixed Income Max 70% e) Cash or cash equivalent Min 5% To achieve moderate capital growth over a medium to long-term time period by investing in a portfolio of Shariah compliant investments. s to certificate holders will be obtained via growth in unit price of the Fund. Balanced- Linked 0.6142 0.6294 Summary of Funds Balanced- Linked 2.47% 1.73 (0.21)% 4.41% N/A 25.88% 2.05% 0.40% 2.05% 6.16% N/A 21.44% AmMetLife Takaful Balanced Fund - NAV

AmMetLife Ta k a f u l B a l a n c e d P l u s Fund Launch Date 1 st October 2013 Moderate to high a) 50% - FTSE Bursa Malaysia Hijrah Syariah Index (or FBMHS ) Equity b) 50% - Maybank 12 month General Investment Account rate - Fixed Income a) Shariah - compliant equity & equity-related CIS - up to 70% b) Sukuks and sukuk - related CIS - up to 70% c) Cash or cash equivalent at least 5% AmMetLife Takaful Balanced Plus Fund Unit Trust Holdings Unit Trust (Equity) AmIslamic Growth 22.04 CIMB Islamic DALI Equity Growth 17.26 Eastspring Investments Dana al-ilham 29.39 SubTotal 68.68 The Fund aims to provide the Certificate Holder with an opportunity to gain potentially higher than Shariah-compliant fixed deposits, over a medium to long term investment horizon, through investing in Shariah-compliant collective investment schemes ( CIS ). s to certificate holders will be obtained via growth in unit price of the Fund. Unit Trust (Sukuk) CIMB Islamic Sukuk 22.09 SubTotal 22.09 31 th Dec 31 th Jan Balanced-Plus Linked 0.5186 0.5304 Balanced- Plus Linked Summary of Funds (1 st Oct 2013) 2.28% 0.36% (0.62)% 6.16% N/A 6.08% 1.75% 0.47% 1.98% 5.68% N/A 5.69% Cash/Cash Eqv 9.23 Grand Total 100.00 AmMetLife Takaful Balanced Plus Fund AmMetLife Takaful Balanced Plus Fund - NAV This Fund Fact Sheet is provided by AmMetLife Family Takaful Berhad (Company No.: 931074-V) in good faith for general information purposes only. Information including any analysis, opinions or views contained herein reflects a judgment at the date of publication and is subject to change without notice. Please note that AmMetLife Family Takaful Berhad does not guarantee, warrant nor confirm any profits or losses as a result of your investment in any of the Takaful funds. Please be reminded that historical and any forecasted rate of returns do not influence future performance as investment returns are subject to several factors which includes market, credit, interest rate and liquidity risks. Prior to invest in the Takaful fund, we advise you to carefully consider all your own requirements, protection needs, investment objectives, level of experience and your individual risk appetite. To the maximum extent permitted by law, no liability or responsibility is accepted for any loss or damage,

CONTACT US: Contact our friendly Customer Service Personnel at Tel: 1300 22 9777 or Fax: +603-2171 3000 Type amt <SPACE> Message and SMS to 33911 Head Office Send an e-mail to customercare@ammetlifetakaful.com AmMetLife Takaful Berhad, 12th Floor, Menara AmMetLife, No. 1, Jalan Lumut, 50400, Kuala Lumpur. Tel : +603-4047 8000 Fax: +603-4043 2007 We re in the web http://www.ammetlifetakaful.com.my