Funds
Kenanga OnePRS Moderate Fund
 

Investment objective

The Fund aims to achieve returns over the long-term through investments in equities and/or bonds.

 

Fund Category

Core (Moderate)

 

Asset Allocation

·    Maximum 60% of the Fund’s NAV - Equities

·   At least 40% of the Fund’s NAV - Fixed income instruments and/or money market instruments 

·   At least 5% of the Fund’s NAV - Cash and cash equivalents 

 

Performance benchmark

A composite of All MGS Index (40%) and FBM 100 (60%). The composition of the benchmark is reflective of the equity exposure and fixed income instruments exposure of the Fund.


The risk profile of the Fund is not the same as the risk profile of the Performance Benchmark.

 

Member’s profile

This Fund is suitable for Members who

·    seek capital appreciation; and/or

·    have low to moderate risk tolerance and can withstand short-term volatility.


For Members under the default option who have attained the age of 40 years but are not yet 50 years old, their contributions will be allocated into this Fund.


Note: Where a Member under the default option makes the first contribution to the Scheme a month before the Member attains the age of 40 or 50 years old as the case may be, the Member’s contribution will be allocated into the Kenanga OnePRS Moderate Fund or Kenanga OnePRS Conservative Fund as the case may be.

 

Entry Fee

Cash Investment: Up to 1.50% of NAV per Unit

 

Annual Management Fee

1.55% p.a. of the NAV

 

Annual Scheme Trustee Fee

0.015% p.a. of the NAV or a minimum fee of RM6,000 p.a. per Fund

 

Exit Charge

Nil

 

Switching Fee (between Funds in this Scheme)

Nil

 

Transfer Fee (to another PRS Provider)

RM25 per transaction

 

PPA Account Opening Fee

RM10

 

PPA Annual Fee

RM8 p.a.

 

PPA Administration Fee (Charged to the Funds)

0.04% p.a. of NAV

 

PPA Transfer Fee

RM25 per transaction

 

Minimum Initial Contribution

·    Lump sum: RM1,000 per Fund

·     Regular contribution plan: RM100 per Fund

 

Minimum Additional Investment

RM100 per Fund

 

Note

·      In computing the annual management fee and annual trustee fee, the Net Asset Value (“NAV”) of the Fund should include the management fee and the trustee fee for the relevant day.


·      All fees and charges payable to the Provider, the Trustee and PPA are subject to the goods and services tax/sales and services tax/other taxes of a similar nature as may be imposed by the government or other authorities from time to time. 

 

This is for information only. It should not be construed as an offer or a solicitation of an offer to purchase or subscribe or to sell units. Units of the Fund are offered solely on the basis of the information contained in the Disclosure Document and Supplementary Disclosure Document (if any). If you are in doubt when considering the investment or the information provided, you are advised to consult a professional adviser.


Kenanga Investors Berhad 199501024358 (353563-P). All rights reserved.
Quick Links