Maybank Financial Infobank15 Index Fund

Maybank Financial Infobank15 Index Fund

Risk Rating
Aggressive
Fund Category
Equity Funds
Currency
RP
Nav (Rp)
As at 4 Oct 2024
1019.38
30 days(%)
0.28
1 Year(%)
0
NAV
Fees & Charges
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Note: The chart above does not take into account any dividend reinvestment.
Subscription Fee

Max. 1%

Redemption Fee

Max. 1%

Switching Fee

Max. 1%

Management Fee
Max. 3%
Fact Sheet
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Disclaimer:
Investors are advised to read and understand the relevant unit trust fund(s) contents of prospectus/information memorandum before investing. Among others, investors should consider the fees and charges involved. The price of units and distribution payable, if any, may go up or down. Past performance is not an indication of future performance. Unit Trust products are not insured by PIDM.