Disclaimer

Not an Offer to Sell or a Solicitation to Buy

Each of the funds referred to in the Principal Asset Management Berhad (‘Principal’) website is intended only to be made available in Malaysia and offered only to persons in Malaysia. The data presented is for information purposes only and is not a recommendation to buy or sell any securities or adopt any investment strategy. This material is not intended to be relied upon as a forecast, research, or investment advice regarding a particular investment or the markets in general, nor is it intended to predict or depict performance of any investment. The information it contains does not take account of any investor's investment objectives, particular needs or financial situation. You should consider whether an investment fits your investment objectives, particular needs and financial situation before making any investment decision.

Acknowledgement

By clicking on “I Agree” below, you will acknowledge and agree with Principal that you:

  1. have read, understood and agree to the above;
  2. are a Malaysian resident and you are accessing the information from within Malaysia; and
  3. agree to the exclusion by Principal of any liability for any loss (direct or otherwise) arising from the use of any part of the information contained in this website, and the exclusion of any liability in respect of any error or omission by Principal and any relevant third party.
     

Principal World Selection Aggressive Fund (Class GBP-Hedged)

Fund Performance

As at date : 31-08-2024
Fund
Year To Date Performance (%) 1Year (%) 3Year (%) 5year (%) Since Inception (%) NAV (GBP) Fund Size (million)
Principal World Selection Aggressive Fund (Class GBP-Hedged) 10.31% 15.21% 0.34% 22.85% 20.78% 1.1050 0.20
Benchmark 0.00% 0.00% 0.00% 0.00% 0.00%
Benchmark : The Fund is benchmark unconstrained as Target Fund is benchmark unconstrained, i.e. it will be actively managed without reference to any specific benchmark

Income Distribution History

Period Gross (Sen/ Unit) Annualised Yield (%)
Jun-2024 0.31 1.14
Mar-2024 0.27 1.00
Dec-2023 0.20 2.58
Sep-2023 0.21 0.89
Jun-2023 0.63 2.58
Mar-2023 0.55 2.37
Dec-2022 0.42 1.76
Sep-2022 0.57 2.44
Jun-2022 0.57 2.24
Mar-2022 0.47 1.72
Dec-2021 0.47 1.68
Sep-2021 0.69 2.36
Jun-2021 0.44 1.56
Mar-2021 0.47 1.72
Dec-2020 0.42 1.60

Disclaimer : Annualised yield is calculated as the most recent monthly dividend distribution multiplied by the Fund’s dividend frequency and divided by the latest NAV.

Unit Split History

General Information

The Fund is a wholesale feeder fund issued by Principal Malaysia. The Fund aims to provide long term total returns through investments in one collective investment scheme, which is managed with high risk strategy by investing primarily in bonds and shares, either directly or through investing into other funds. The Fund is established with a multi-class structure and is allowed to establish new Class(es) from time to time without your prior consent. 

This is neither a capital protected fund nor a capital guaranteed fund.

Fund is suitable for investor who:

  • a Sophisticated Investor;
  • have a long term investment horizon;
  • seek for a reasonable level of capital growth while willing to accept high degree of risk; and
  • seek for regular income.

Fund Details

Distribution PolicyClass USD, Class AUD-Hedged, Class GBP-Hedged, Class MYR-Hedged and Class SGD-Hedged: Depending on the level of income (if any) the Class generates, the Class aims to distribute part or all of its distributable income on a quarterly basis. Note: The Fund may distribute from realised income, realised capital gains, unrealised income, unrealised capital gains, capital or a combination of any of the above. We reserve the right to vary the frequency and/or amount of distributions.
Investment Time HorizonRecommended 5 years or more.
Initial InvestmentMinimum GBP 2,000
Additional InvestmentGBP 1,000 or more at any time.
Cooling off periodYou have six (6) Business Days after your initial investment (i.e. from the date the complete application is received and accepted by us or any of our Distributors) to reconsider the appropriateness and suitability for your investment needs. Within this period, you may withdraw your investment at the same NAV per unit when the units were purchased or prevailing NAV per unit at the point of cooling-off (whichever is lower) (“Refund Amount”). We will pay the Refund Amount including the Application Fee (if any) to you in the currency of the respective Class within seven (7) Business Days from the date we receive the complete documentations. Please note that the cooling-off right is only given to first time investor investing with us or our Distributors. However, corporations or institutions, Principal Malaysia’s staff and person(s) registered with a body approved by the SC to deal in unit trust funds are not entitled to the cooling-off right.
Minimum Withdrawal1000 units or such other number of units as we may decide from time to time.
Launch Date15 May 2019

Fund Partner

  • HSBC Bank (Malaysia) Berhad

Click here to know more about our fund partner(s). 

Fund Fees

Application FeesUp to 5.50% of the NAV per unit
Annual FeesManagement Fee: Up to 1.80% per annum of the NAV
Trustee Fee: 0.04% per annum of the NAV
Switching FeesSince switching is treated as a withdrawal from one class or fund and an investment into another class or fund, you will be charged a Switching Fee equal to the difference (if any) between the Application Fee of the Class and Application Fee of the other class or fund. Switching Fee will not be charged if the class or fund to be switched into has a lower Application Fee. We may impose GBP35 administrative fee for every switch. You may negotiate to lower the Switching Fee and/or administrative fees with us or our Distributors. We also have the discretion to waive the Switching Fee and/or administrative fees.