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Principal Asia Pacific Dynamic Income Fund Myr (0P0000SVIH)

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0.268 +0.004    +1.67%
03/03 - Delayed Data. Currency in MYR ( Disclaimer )
Type:  Fund
Market:  Malaysia
Issuer:  CIMB Principal Asset Management Berhad
ISIN:  MYU1000DP009 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 3.48B
CIMB-Principal Asia Pacific Dynamic Income Fund 0.268 +0.004 +1.67%
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Rating
1-Year Change - 25.58%
Prev. Close0.264
Risk Rating
TTM Yield2.46%
ROE16.86%
IssuerCIMB Principal Asset Management Berhad
Turnover87%
ROA8.01%
Inception DateApr 25, 2011
Total Assets3.48B
Expenses1.86%
Min. Investment500
Market Cap45.07B
CategoryEquity - Asia Pacific ex - Japan
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Performance

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YTD 3M 1Y 3Y 5Y 10Y
Growth of 1000 1042 1157 1290 1253 1943 -
Fund Return 4.15% 15.73% 29.03% 7.81% 14.21% -
Place in category 29 33 43 19 10 -
% in Category 35 38 52 31 17 -

Top Equity Funds by Principal Asset Management Berhad

  Name Rating Total Assets YTD% 3Y% 10Y%
  CIMB Islamic DALI Equity Growth 2.6B -2.63 -5.19 3.00
  CIMB Islamic Asia Pacific Equity Fu 2.15B -61.72 -21.30 -2.19
  CIMB Principal Global Titans Fund 2.1B -1.18 6.33 10.36
  CIMB Principal Greater China Equity 1.73B 9.06 15.59 12.96
  CIMB Islamic DALI Eq 1.07B 1.30 2.00 5.72

Top Funds for Equity - Asia Pacific ex-Japan Category

  Name Rating Total Assets YTD% 3Y% 10Y%
  Public Far East Select 1.7B 5.40 5.16 5.79
  Affin Hwang Select Asia ex Japan Op 1.37B 29.64 9.21 8.44
  MYU930000CF8 1.19B 4.15 10.79 -
  Affin Hwang Select Asia ex Japan Qu 337.31M 35.91 7.83 11.79
  Public Far East Dividend Fund 225.6M 2.09 1.81 4.24

Top Holdings

Name ISIN Weight % Last Change %
Alibaba Group Holding Ltd - 10.98 - -
Tencent Holdings Ltd - 8.92 - -
  LG Chemicals KR7051910008 6.37 904,000 +4.51%
  Reliance Industries INE002A01018 6.05 2,193.75 +0.82%
  Samsung Electronics Co KR7005930003 5.75 82,100 -0.36%

Technical Summary

Type Daily Weekly Monthly
Moving Averages Sell Strong Sell Strong Sell
Technical Indicators Strong Sell Strong Sell Strong Sell
Summary Strong Sell Strong Sell Strong Sell
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