Hong Leong Asia Value Bond Fund MYR Hedged I Class
Fund Information
| Fund Category | Wholesale Fixed Income (Feeder) |
| Fund Type | Growth & Income |
| Product Risk Rating | Medium |
| Launch Date | 05 November 2025 |
| Asset Allocation (% of Fund’s NAV) |
• Target Fund: Minimum 85% of the Fund’s NAV;
• Money market instruments and/or deposits: Balance of the Fund’s NAV.
|
| Performance Benchmark |
The Fund does not have a performance benchmark. |
| Investor Profile |
HLAVBF is suitable for sophisticated investors who:
|
| Minimum Initial Investment | RM 1,000,00 |
| Minimum Subsequent Investment | RM 100,000 |
| Specific Risks |
Concentration risk, Counterparty risk, Currency risk, Country risk, Target fund manager risk and Hedging risk. |
Fee & Charges
| Sales Charge# | Up to 3.00% of the NAV per Unit |
| Redemption Charge / Fee | NIL |
| Switching Fee | NIL |
| Annual Management Fee# | 0.75% per annum of the NAV |
| Annual Trustee Fee# | 0.045% per annum of the Fund’s NAV, subject to a minimum fee of RM12,000.00 per annum (excluding foreign custodian fees and charges, where applicable) |
| Exit Fee | NIL |
|
# The fees and charges stated are subject to any applicable taxes and/or duties and at such rate as may be imposed by the government from time to time. The Manager/Trustee (where applicable) shall have the right to charge and recover from the Fund any applicable taxes and/or duties now or hereafter imposed by law or required to be paid in connection with the products or services provided by the Manager/Trustee (where applicable) |
|
Fund Performance
| 1M | 6M | 1Y | 3Y | 5Y | YTD | Since Inception | Date |
|---|
Income Distribution
| Gross (sen) |
Net (sen) |
Cum Distri Date | Cum Distri Nav (RM) |
Reinvest Date | Reinvest Price (RM) |
Yield (%) |
Income (%) |
Capital (%) |
|---|---|---|---|---|---|---|---|---|
| 0.4200 | 0.4200 | 25/2/2026 | 1.0168 | 26/2/2026 | 1.0126 | 0.84 | 100.00 | - |
| 0.4200 | 0.4200 | 26/1/2026 | 1.0127 | 27/1/2026 | 1.0088 | - | 100.00 | - |
Historical Fund Price
| Valuation Date | NAV (RM) |
|---|---|
| 5/3/2026 | 1.0018 |
| 4/3/2026 | 1.0014 |
| 3/3/2026 | 1.0039 |
| 2/3/2026 | 1.0085 |
| 27/2/2026 | 1.0122 |
| 26/2/2026 | 1.0126 |
| 25/2/2026 | 1.0168 |
| 24/2/2026 | 1.0162 |
| 23/2/2026 | 1.0160 |
| 20/2/2026 | 1.0152 |
| 19/2/2026 | 1.0144 |
| 12/2/2026 | 1.0126 |
| 11/2/2026 | 1.0123 |
| 10/2/2026 | 1.0114 |
| 9/2/2026 | 1.0096 |
| 6/2/2026 | 1.0089 |
| 5/2/2026 | 1.0089 |
| 4/2/2026 | 1.0094 |
| 3/2/2026 | 1.0090 |
| 30/1/2026 | 1.0104 |



