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HLAM

Disclaimer


The information contained herein does not suggest, imply and should not be construed, in any manner, a guarantee of future performance and/or investment advice. Past performance does not guarantee future results. Therefore, no current or prospective investor should assume that the future performance will be profitable or equal to corresponding indicated performance levels. While the data contained herein has been prepared from information that HLAM believes to be reliable, HLAM does not warrant the accuracy or completeness of such information and shall not be liable in any manner whatsoever resulting from the use of this information.

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Hong Leong Balanced Fund

Hong Leong Balanced Fund

Hong Leong Balanced Fund (HLBF) aims to achieve regular income* and consistent capital growth over the medium-to-long term** by investing in a diversified investment portfolio containing a balanced mixture of equities and fixed income securities. The Fund will invest in equity securities of companies operating in Malaysia.
Valuation Date NAV (RM)

Fund Information

Fund Category Balanced
Fund Type Growth & Income
Product Risk Rating Low
Launch Date 29 April 2002
Asset Allocation (% of Fund’s NAV)

Equities: Minimum 40% and maximum 60%.

Fixed income securities and money market instruments: Minimum 40% and maximum 60%.

Performance Benchmark

40% 3-months KLIBOR + 60% FBM KLCI.

Investor Profile

The Fund is suitable for investors who:-

have conservative to moderate risk-reward temperament;

have preference in receiving regular income* and returns from capital growth; and

have a medium-to-long term** investment horizon.

Minimum Initial Investment RM1000
Minimum Subsequent Investment RM100
Specific Risks

Particular security risk, credit/default risk, single issuer risk and interest rate risk.

Notes:
Notes:
* Income may be distributed in the form of cash and/or Units.
** 3 - 5 years
# The fees and charges stated are subject to any applicable taxes and/or duties and at such rate as may be imposed by the government from time to time. The Manager/Trustee (where applicable) shall have the right to charge and recover from the Fund any applicable taxes and/or duties now or hereafter imposed by law or required to be paid in connection with the products or services provided by the Manager/Trustee (where applicable).
^ For effective date on annual management fee, please refer to 3rd Supplementary Master Prospectus dated 31 December 2020.
The information contained herein does not suggest, imply and should not be construed, in any manner, a guarantee of future performance and/or investment advice. Past performance does not guarantee future results. Therefore, no current or prospective investor should assume that the future performance will be profitable or equal to corresponding indicated performance levels. While the data contained herein has been prepared from information that HLAM believes to be reliable, HLAM does not warrant the accuracy or completeness of such information and shall not be liable in any manner whatsoever resulting from the use of this information.

Fee & Charges

Sales Charge# Up to 6% of the NAV per Unit
Redemption Charge / Fee NIL
Switching Fee NIL
Annual Management Fee# Up to 2% p.a.^
Annual Trustee Fee# 0.08% p.a., subject to a minimum of RM18,000 p.a. (excluding foreign custodian fee and charges)
Sales Charge#: HLBoF-OIP -
Sales Charge#: HLBoF-SAP -
Exit Fee -
# The fees and charges stated are subject to any applicable taxes and/or duties and at such rate as may be imposed by the government from time to time. The Manager/Trustee (where applicable) shall have the right to charge and recover from the Fund any applicable taxes and/or duties now or hereafter imposed by law or required to be paid in connection with the products or services provided by the Manager/Trustee (where applicable).
^ For effective date on annual management fee, please refer to 3rd Supplementary Master Prospectus dated 31 December 2020.

Fund Performance

1M 6M 1Y 3Y 5Y YTD Since Inception Date
2.05 3.61 24.05 35.53 54.72 350.56 10.14 8/31/2021

Income Distribution

Gross
(sen)
Net
(sen)
Cum Distri Date Cum Distri Nav
(RM)
Reinvest Date Reinvest Price
(RM)
Yield
(%)
Income
(%)
Capital
(%)
0.2000 - 8/20/2021 0.5468 8/23/2021 0.5463 - - -
0.8000 - 7/21/2021 0.5506 7/22/2021 0.5472 - - -
0.2000 - 6/21/2021 0.5564 6/22/2021 0.5535 - - -
0.2000 - 5/20/2021 0.5412 5/21/2021 0.5415 - - -
0.2000 - 4/20/2021 0.5637 4/21/2021 0.5604 - - -
0.2000 - 3/22/2021 0.5547 3/23/2021 0.5511 - - -
0.2000 - 2/22/2021 0.5465 2/23/2021 0.5469 - - -
0.2000 - 1/20/2021 0.5353 1/21/2021 0.5312 - - -
0.2000 - 12/21/2020 0.5187 12/22/2020 0.5109 - - -
0.2000 - 11/20/2020 0.4940 11/23/2020 0.4935 - - -
0.2000 - 10/20/2020 0.4856 10/21/2020 0.4768 - - -
0.2000 - 9/21/2020 0.4697 9/22/2020 0.4689 - - -
0.2000 - 8/21/2020 0.4846 8/24/2020 0.4816 - - -
0.2000 - 7/20/2020 0.4803 7/21/2020 0.4824 - - -
0.4000 - 6/22/2020 0.4667 6/23/2020 0.4632 - - -
0.2000 - 5/20/2020 0.4566 5/21/2020 0.4592 - - -
0.2000 - 4/20/2020 0.4274 4/21/2020 0.4177 - - -
0.2000 - 3/20/2020 0.3645 3/23/2020 0.3475 - - -
0.2000 - 2/20/2020 0.4901 2/21/2020 0.4895 - - -
0.2000 - 1/20/2020 0.4883 1/21/2020 0.4856 - - -
0.2000 - 12/20/2019 0.4821 12/23/2019 0.4814 - - -
0.2000 - 11/20/2019 0.4854 11/21/2019 0.4804 - - -
0.2000 - 10/21/2019 0.4848 10/22/2019 0.4816 - - -
0.2000 - 9/20/2019 0.4771 9/23/2019 0.4738 - - -
0.2000 - 8/20/2019 0.4777 8/21/2019 0.4759 - - -
1.9000 - 7/17/2019 0.5028 7/18/2019 0.4824 - - -
1.9000 - 1/24/2019 0.4795 1/25/2019 0.4631 - - -
1.7500 - 7/19/2018 0.5084 7/20/2018 0.4904 - - -
1.7500 - 1/16/2018 0.5341 1/17/2018 0.5156 - - -
1.7500 - 7/28/2017 0.5261 7/31/2017 0.5067 - - -
4.0900 - 1/18/2017 0.5212 1/19/2017 0.4813 - - -
1.7500 - 7/21/2016 0.5340 7/22/2016 0.5201 - - -
1.7500 - 1/19/2016 0.5352 1/20/2016 0.5130 - - -
1.7500 - 7/21/2015 0.5526 7/22/2015 0.5365 - - -
1.7500 - 1/20/2015 0.5227 1/21/2015 0.5107 - - -
1.7500 - 7/22/2014 0.5378 7/23/2014 0.5221 - - -
1.7500 - 1/21/2014 0.5337 1/22/2014 0.5166 - - -
1.7500 - 3/29/2013 0.5208 4/1/2013 0.5050 - - -
3.5000 - 1/31/2012 0.5171 2/2/2012 0.4868 - - -
3.5000 - 7/30/2010 0.4903 8/2/2010 0.4596 - - -
3.5000 - 8/28/2009 0.4678 9/1/2009 0.4322 - - -
4.0000 - 8/15/2008 0.0000 8/19/2008 0.0000 - - -
6.0000 - 7/31/2007 0.0000 8/9/2007 0.0000 - - -
3.0000 - 6/30/2005 0.0000 7/15/2005 0.0000 - - -
2.5000 - 9/30/2004 0.0000 10/15/2004 0.0000 - - -
7.5000 - 12/31/2003 0.0000 1/14/2004 0.0000 - - -
Source: Lipper. The Yield represents a financial ratio that shows how much a fund pays out in income distribution each year relative to its fund price at the beginning of the year. In the absence of any capital gains, the dividend yield is the return on investment for a fund.

Historical Fund Price

Valuation Date NAV (RM)
10/4/2023 0.4411

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