Hong Leong Balanced Fund
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.
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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.
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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 | - | - | - |
Historical Fund Price
| Valuation Date | NAV (RM) |
|---|---|
| 10/4/2023 | 0.4411 |



