Wednesday, June 29, 2011

PILIHAN DANA PELABURAN YANG DITAWARKAN OLEH MAA TAKAFUL


1.  MAA TAKAFUL SHARIAH GROWTH FUND
Description:
MAA Takaful Shariah Growth Fund seeks capital appreciation over the medium to long-term. This is achieved by investing in predominantly Malaysian equities and equity-related securities complying with Shariah principles. The balance is invested in Islamic fixed interest securities, cash and short term money market instruments. 

Risk Barometer: HIGH

Asset Class Range %
Equities & equity-related securities 30-95%
Fixed income securities 0-30%
Cash & cash equivalents 5-70%
Other Assets 0-10%

Fund Management Fee:
Up to 1.5% per annum 

Fund Performance since inception:
 




2.  MAA TAKAFUL SHARIAH BALANCED FUND
Description:
MAA Takaful Shariah Balanced Fund provides a balanced mix of income returns, as well as capital growth over the medium to long term, by investing in a diversified portfolio of Shariah-compliant equities and fixed income securities. 

Risk Barometer: MODERATE TO HIGH

Asset Class Range %
Equities & equity-related securities 10-70%
Fixed income securities 30-55%
Cash & cash equivalents 5-60%
Other Assets 0-1%

Fund Management Fee:
Up to 1.5% per annum 

Fund Performance since inception:




3.  MAA TAKAFUL SHARIAH INCOME FUND
Description:
MAA Takaful Shariah Income Fund aims to provide a stable level of income through investments in a diversified portfolio of Shariah-compliant fixed income securities. This is achieved by investing primarily in Islamic fixed securities, cash, short term money market instruments and income yielding Malaysian equities.

Risk Barometer:LOW TO MODERATE

Asset Class Range %
Equities & equity-related securities 0-10%
Fixed income securities 40-95%
Cash & cash equivalents 5-60%
Other Assets 0-1%

Fund Management Fee:
Up to 1.5% per annum 

Fund Performance since inception:




4.  MAA TAKAFUL SHARIAH FLEXI FUND
Description:
MAA Takaful Shariah Flexi Fund aims to generate a positive return over medium to long-term period given the flexibility of the asset allocation of the fund. The fund is invested in a diversified portfolio of Shariah-compliant securities, predominantly in Malaysian equities, Islamic debt securities and short term-term Islamic money market. The allocation of assets will be determined by market conditions.

Risk Barometer: MODERATE TO HIGH

Asset Class Range %
Equities & equity-related securities 10-90%
Fixed income securities 10-90%
Cash & cash equivalents 5-60%
Other Assets 0-1%

Fund Management Fee:
Up to 1.3% per annum 

Fund Performance since inception:


2 comments:

Michael Weston said...

good

Michael Weston said...

What are the best Shariah Fixed Income Fund
in UAE.

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