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KAF iCash

Latest Price NAV

USD
0.22
as of
13/Sep/23

Objective

The Fund seeks to provide investors with liquidity while providing reasonable returns by investing its assets in Islamic deposits. The Fund seeks to achieve its investment objective by investing in a portfolio of Islamic deposits placed with financial institutions in Malaysia. It will invest at least 90% of its NAV in placement of Islamic deposits which have a remaining maturity period of not more than 365 days. The Fund may also invest up to 10% of NAV in placement of Islamic deposits with a remaining maturity period of more than 365 days but less than 732 days.

Key Facts

Launch Date :
3/Sep/18
Asset Type :
Base Currency :
Total Net Asset (USD M) :
58.16
Benchmark :
Maybank 1 Month Islamic Fixed Deposit-i
Dividend Type :
Income
Income Distribution :
Paid
Total Expense Ratio % :
0.17
Geographical Focus :
Malaysia
Shariah Compliant
Shariah

Performance

3 Yrs Performance

-1.26

5 Yrs Performance

N.A

10 Yrs Performance

N.A

Top Holdings

Portfolio Composition

Transaction Information

Annual Charges

Minimum Charge :
N.A
Maximum Charge:
0.25

Initial Charges

Minimum Charge :
N.A
Maximum Charge :
N.A
Actual Charge :
N.A

Redemption Charges

Minimum Charge :
N.A
Maximum Charge:
N.A
Actual Charge :
N.A

Contact

Company Name:
KIFB
Website :
https://www.kaf.com.my/Home/Investment-Funds