The Fund invests in ETFs that are liquid and registered with recognized exchanges and/or authorities. As the Fund is structured as a fund of funds, at all times, the Fund will be investing in at least 5 different ETFs.

Code E036
Type Fund of Funds/ Growth
Sales Charge
6%
Redemption Charges
None
Annual Mgmt Fee 1.8%
Annual Trustee Fee 0.08%
Income Distribution
Incidental
Risk Medium-high
EPF No

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HEAR IT FROM THE EXPERTS
Eastspring Investments Berhad (Formerly known as Prudential Fund Management Berhad) is an indirect subsidiary of Prudential plc, a company incorporated in the United Kingdom. Neither Eastspring Investments Fund Management Berhad nor Prudential plc is affiliated with Prudential Financial Inc, a company whose principal place of business is in the United States of America.