Which fund is best in Malaysia?

Which fund is best in Malaysia?

Unit trust fund lah!…Top 5 Performing Unit Trust Funds (2 Year)

Rank Fund Name Return
1 KAF Core Income Fund 180.14%
2 TA Small Cup Fund 143.85%
3 United Malaysia Fund – MYR Class A 127.19%
4 Manulife Investment Indonesia Equity 119.15%

Which funds give highest returns?

List of High Risk & High Returns in India Ranked by Last 5 Year Returns

  • HDFC Small Cap Fund.
  • Nippon India Growth Fund. Consistency.
  • Invesco India Mid Cap Fund. Consistency.
  • Tata Midcap Growth Fund. Consistency.
  • UTI Mid Cap Fund. Consistency.
  • DSP Midcap Fund. Consistency.
  • L Midcap Fund. Consistency.
  • Mirae Asset Midcap Fund. N.A.

Which fund is performing best?

Fund House Fund Category Fund Rank and Ratios Fund Parameters Investment Parameters Filter

Scheme Name Plan 1Y
Union Long Term Equity Fund – Direct Plan – Growth Direct Plan 27.32%
UTI Long Term Equity Fund (Tax Saving) – Direct Plan – Growth Direct Plan 24.14%
Canara Robeco Flexi Cap Fund – Direct Plan – Growth Direct Plan 24.89%

What is the highest performing international fund?

International Diversified Large-Company Funds – 5 years

FUND NAME SYMBOL 3-YR RETURN
Prudential Jennison International Opportunities A PWJAX 19.24%
Vanguard International Growth Inv VWIGX 16.06
Morgan Stanley Instl Fund International Advantage A MFAPX 12.33
WCM Focused International Growth Inv WCMRX 16.32

Is unit trust better than EPF?

MIS unit trust funds: You could make higher returns than EPF, but your investments are less safe and you’ll have to pay fees. However, you’ll have slightly more choice on where your savings are invested. Saving in EPF: You can expect stable returns and your money is safer because it’s guaranteed by the government.

Which unit trust is the best in Malaysia?

For investors who want their investment portfolio to be different from traditional asset classes, the RHB Gold and General Fund is the best unit trust in Malaysia.

Which funds are high risk?

Top high-risk mutual funds

  • Escorts Tax Plan Direct-G.
  • Aditya Birla SL Tax Plan Direct-G.
  • DSP BlackRock Tax Saver Fund – Direct Plan.
  • Aditya Birla Sun Life Tax Relief 96 – Direct Plan.
  • Tata India Tax Savings Fund – Direct Plan.
  • L Tax Advantage Direct-G.
  • IDFC Tax Advantage (ELSS) Fund – Regular Plan.

Which type of fund has highest risk?

High risk funds are long-term investments that are meant to be invested for longer tenure that is more than 5 years. Mutual Funds that are advised for such investments are Equity Funds. An Equity Fund is considered to be a high-risk, high return fund. Equity funds invest in stocks/shares of companies.

Which fund has the highest 10 year return?

Large-Company Stock Funds – 10 years

FUND NAME SYMBOL 10-YR RETURN
Fidelity Growth Company** FDGRX 19.36%
Shelton Capital Nasdaq-100 Index Direct NASDX 19.15
USAA Nasdaq-100 Index USNQX 19.13
Fidelity OTC Portfolio FOCPX 18.8

How do I find the best performing mutual funds?

You may find the best performing mutual funds doing well across market cycles. You must check the alpha of the equity fund to identify the best performing mutual fund. It shows the excess return generated by the equity fund above the benchmark index.

Which country index fund is best?

The Best Global Equity Markets (2022)

Country Index in 2022 1 Year
Canada MSCI Canada 8.95% 28.44%
Thailand MSCI Thailand 6.98% 3.98%
Malaysia MSCI Malaysia 5.65% 7.49%
United Kingdom FTSE 100 4.35% 18.38%

How are the Morningstar categories assigned to mutual funds?

While the investment objective stated in a fund’s prospectus may or may not reflect how the fund actually invests, the Morningstar category is assigned based on the underlying securities in each portfolio. We’re enhancing the Morningstar Analyst Rating and Morningstar Quantitative Rating to make them even more useful to investors.

Is past performance of the fund indicative of future performance?

Past performance of the fund is not indicative of future performance. The Volatility Factor (VF) means there is a possibility for the fund in generating an upside return or downside return around this VF. The Volatility Class (VC) is assigned by Lipper based on quintile ranks of VF for qualified funds.

What does the volatility factor mean for fund performance?

Fund performance may go down as well as up. Past performance of the fund is not indicative of future performance. The Volatility Factor (VF) means there is a possibility for the fund in generating an upside return or downside return around this VF.

How often is the table of PRS fund performance updated?

The table below is updated monthly to give you a snapshot of PRS fund performances over a five-year and 1-year period. Past performance is no guarantee of future returns, so use it only as a guide to your retirement planning needs.

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