Ta South East Asia Equity



Fund type category.

Ta south east asia equity. Singapore island bank limited is a full licensed bank and a wholly owned subsidiary of ocbc bank. Ocbc acquired ing asia private bank on 29 january 2010 and renamed it bank of singapore. Ta south east asia equity fund a m emb r f the ta group for the öancial yer ended annual report ta global technologyfund 199501011387 340588 t ta global technology fund for the financial year ended 31 may 2020 1 contents contents 1 key performance data 2 manager s report 4.

Fund prices fact sheets investment research advice and portfolio tools for oeics unit trusts isas peps etfs offshore and life and pension funds. Best equity malaysia fund period ending december 31 2008. The edge lipper malaysia unit trust fund awards 2009.

Growth income equity. Get information about the top portfolio holding of the ta south east asia equity fund 0p00008mk9 fund including stock holdings annual turnover top 10 holdings sector and asset allocation. Ta asia pacific islamic balanced fund.

The fund may invest up to 100 of its nav in foreign equity and equity related securities in the south east asia markets while 0 to 5 of the total assets will be kept in liquid assets. Net asset value nav. Legg mason martin currie southeast asia trust a acc sgd legg mason qs emerging markets equity a acc usd legg mason qs mv asia pacific ex japan equity growth and income a acc usd legg mason qs mv asia pacific ex japan equity growth and income a mdis sgd h plus legg mason qs mv european equity growth and income a mdis sgd h plus.

About ta south east asia equity fund ta south east asia equity fund is an open end unit trust established in malaysia the fund s objective is to provide steady income and long term capital growth. The fund aims to provide steady income and long term capital growth by investing primarily in quoted or listed equities and equity related instruments including reits in south east asia markets. The star standard poor s funds awards malaysia 2007.

Best mixed asset myr balanced global fund period ending december 31 2009.