Hong Leong PRS Growth Fund
Fund Information
Fund Category | Core (Growth) |
Fund Type | NA |
Product Risk Rating | High |
Launch Date | 20 December 2022 |
Asset Allocation (% of Fund’s NAV) |
|
Performance Benchmark |
FTSE Bursa Malaysia KLCI |
Member Profile |
This Fund is suitable for Members who:
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Minimum Initial Subscription | RM100 |
Minimum Additional Subscription | RM50 |
Specific Risks |
Particular security risk, credit/default risk, interest rate risk, single issuer risk, currency risk, country risk, small capitalization risk, derivatives/structured products risk, collective investment scheme risk, counterparty risk, liquidity risk and reinvestment risk. |
Fee & Charges
Sales Charge# | Up to 3.00% of the Fund’s NAV per Unit | ||||||||||||
Redemption Charge / Fee | NIL | ||||||||||||
Switching Fee | NIL | ||||||||||||
Annual Management Fee# | 1.50% per annum | ||||||||||||
Annual Trustee Fee# | 0.04% per annum | ||||||||||||
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Fund Performance
1M | 6M | 1Y | 3Y | 5Y | YTD | Since Inception | Date |
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Income Distribution
Gross (sen) |
Net (sen) |
Cum Distri Date | Cum Distri Nav (RM) |
Reinvest Date | Reinvest Price (RM) |
Yield (%) |
Income (%) |
Capital (%) |
---|
Historical Fund Price
Valuation Date | NAV (RM) |
---|---|
15/7/2025 | 0.5123 |
14/7/2025 | 0.5147 |
11/7/2025 | 0.5141 |
10/7/2025 | 0.5117 |
9/7/2025 | 0.5111 |
8/7/2025 | 0.5105 |
7/7/2025 | 0.5159 |
4/7/2025 | 0.5189 |
3/7/2025 | 0.5188 |
2/7/2025 | 0.5171 |
1/7/2025 | 0.5165 |
30/6/2025 | 0.5123 |
26/6/2025 | 0.5093 |
25/6/2025 | 0.5081 |
24/6/2025 | 0.5057 |
23/6/2025 | 0.5057 |
20/6/2025 | 0.5033 |
19/6/2025 | 0.5039 |
18/6/2025 | 0.5070 |
17/6/2025 | 0.5070 |