List of Funds

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Based on the search results, the following funds displayed are 'Retail' funds.

Mixed Assets
Latest NAV Price
Latest NAV Price
AUD 0.8205
Price On 15 Apr 2025
Latest NAV Price
NZD 0.8645
Price On 15 Apr 2025
Latest NAV Price
SGD 0.9757
Price On 15 Apr 2025
Latest NAV Price
USD 0.8732
Price On 15 Apr 2025
Latest NAV Price
AUD 0.6408
Price On 15 Apr 2025
Latest NAV Price
NZD 0.6733
Price On 15 Apr 2025
Latest NAV Price
SGD 0.7004
Price On 15 Apr 2025
Maybank Asian Growth and Income Fund Class A (Dist- Decumulation) SGD
SGXZ47962493
Latest NAV Price
SGD 0.5699
Price On 15 Apr 2025
Maybank Asian Growth and Income Fund Class A (Dist- Decumulation) USD
SGXZ20658563
Latest NAV Price
USD 0.6065
Price On 15 Apr 2025
Equity
Latest NAV Price
Maybank All-Weather Quantitative Fund Class A (Acc) SGD
SGXZ87642013
Latest NAV Price
SGD 1.032
Price On 15 Apr 2025
Maybank All-Weather Quantitative Fund Class I SGD
SGXZ41561846
Latest NAV Price
SGD 1.0004
Price On 15 Apr 2025
Maybank All-Weather Quantitative Fund Class I USD
SGXZ45965498
Latest NAV Price
USD 1.3447
Price On 15 Apr 2025
Latest NAV Price
SGD 1.318
Price On 15 Apr 2025
Latest NAV Price
USD 1.3383
Price On 15 Apr 2025
Latest NAV Price
SGD 0.7179
Price On 15 Apr 2025
Fixed Income
Latest NAV Price
Latest NAV Price
SGD 1.2754
Price On 15 Apr 2025
Latest NAV Price
USD 1.3391
Price On 15 Apr 2025
Latest NAV Price
AUD 0.7794
Price On 15 Apr 2025
Latest NAV Price
NZD 0.8827
Price On 15 Apr 2025
Latest NAV Price
SGD 0.7764
Price On 15 Apr 2025
Latest NAV Price
USD 0.8695
Price On 15 Apr 2025
Latest NAV Price
SGD 1.0313
Price On 15 Apr 2025
Money Market
Latest NAV Price
Latest NAV Price
SGD 1.0959
Price On 16 Apr 2025
Latest NAV Price
USD 1.1449
Price On 16 Apr 2025
Fixed Income Shariah
Latest NAV Price
Latest NAV Price
SGD 0.8288
Price On 15 Apr 2025
Mixed Assets Shariah
Latest NAV Price
Latest NAV Price
SGD 0.8786
Price On 15 Apr 2025
Latest NAV Price
SGD 0.717
Price On 15 Apr 2025
Maybank Global Shariah Multi-Assets – I Fund Class A Accumulation
SGXZ21234380
Latest NAV Price
SGD 1.0000
Price On 15 Apr 2025
Maybank Global Shariah Multi-Assets – I Fund Class A Accumulation
SGXZ55660112
Latest NAV Price
USD 1.0000
Price On 15 Apr 2025
Maybank Global Shariah Multi-Assets – I Fund Class A Accumulation
SGXZ86827995
Latest NAV Price
JPY 100
Price On 15 Apr 2025
Maybank Global Shariah Multi-Assets – I Fund Class A Distribution
SGXZ44715902
Latest NAV Price
SGD 0.9537
Price On 15 Apr 2025
Maybank Global Shariah Multi-Assets – I Fund Class A Distribution
SGXZ37382132
Latest NAV Price
USD 1.0000
Price On 15 Apr 2025
Maybank Global Shariah Multi-Assets – I Fund Class A Distribution
SGXZ43044775
Latest NAV Price
JPY 100
Price On 15 Apr 2025

Maybank Asian Growth and Income Fund Class A (Acc) NZD

The investment objective of the Maybank Asian Growth and Income Fund is to provide capital growth and income through investments in portfolio of equities and fixed income.

Fund Category
Mixed Assets
Currency
NZD
Geographical Exposure
Shariah Compliant
No
Latest NAV Price
Price On 15 Apr 2025
NZD 0.8645
Sales Charge

Up to 5%

Annual Management Fee
  • Class A: 1.25% p.a.
  • Class I: 0.8% p.a.
     
Switching Fee

Up to 1%

Annual Report
EN
Fact Sheet
EN
Interim Report
EN
Product Brochure
EN
Product Highlights Sheet
EN
Prospectus
EN

Note :

For closed-end funds, the prospectus and/or electronic prospectus that has been issued, circulated, or distributed electronically are purely for informational and archiving purposes only.

Disclaimer:
The information presented above does not constitute (1) an offer to buy or sell or a solicitation of an offer to buy or sell any security or financial instrument mentioned and (2) any investment advice or recommendation. Investors should seek financial or any relevant professional advice regarding the suitability of investing in any securities or investments based on their own particular circumstances before making any investments and not on the basis of any recommendation in this information. Past performance is not an indication of future performance. The Fund or any underlying fund may use or invest in financial derivative instruments. Investors should note that the value of units and income from them, if any, may rise or fall. Accordingly, investors may receive less than originally invested. Investors should be aware of the risks involved when investing. Please seek clarification on the potential risks that may arise prior to any decision made to invest in any investments. Investments in fund are not deposits in, obligations of, or guaranteed or insured by Maybank Asset Management Singapore Pte Ltd. Investors should read the prospectus/offering document (including risk warnings) before deciding to invest. This advertisement has not been reviewed by the Monetary Authority of Singapore.