top of page
Fund Performance
Actively managed global mixed asset
NAV DATE
11 Jun 2026
MYR 1.1888
Current NAV
1-DAY RETURN
+1.25%
1-YEAR RETURN
+30.08%
SINCE INCEPTION
+18.88%
NAV Performance
ABOUT THIS FUND
A globally diversified mixed asset fund that invests across geographies and asset classes. Actively managed to capitalise on macroeconomic trends and undervalued opportunities.
Global Mixed Assets
Active Management
Growth
FUND FACTS
Growth
Fund type
MYR
Currency
15 April 2024
Launch date
Min. investment
MYR 50,000
1.5% p.a.
Management fee
Liquidity
Open-ended
Past performance is not a guarantee of future results. All investments carry risk including the possible loss of principal. Avian Capital Sdn. Bhd. is licensed and regulated by the Securities Commission Malaysia (eCMSL/A0386/2023).
bottom of page

_png.png)