Kenanga Managed Growth Fund
(A fund under Kenanga OneAnswer™ Investment Funds)

Investment Objective

The Fund aims to achieve long-term capital growth through diversified investments in equities and bonds.


Fund Category / Type

Balanced / Income & Growth


This Fund is suitable for investors who:

·   are seeking a combination of both capital appreciation with income distribution;

·    have moderate risk tolerance and can withstand short-term volatility; and

·   have long-term investment horizon.


Performance Benchmark

A composite of FTSE-Malaysia 100 Index and RAM Quantshop MGS All Index (50%)

Asset Allocation

·    40% - 60% of the Fund's NAV - Equities

·    40% - 60% of the Fund's NAV - Bonds/ Liquid assets


Entry Fee

Cash Investment: Up to 6.50% of the NAV per Unit

EPF Investment: Up to 1.50% of the NAV per Unit


Annual Management Fee

1.55% p.a. of the NAV


Annual Trustee Fee

0.07% p.a. of the NAV, subject to a minimum of RM9,000 per annum


Exit Fee



Switching Fee



Minimum Initial Investment



Minimum Additional Investment




·      In computing the annual management fee and annual trustee fee, the Net Asset Value (“NAV”) of the Fund should include the management fee and the trustee fee for the relevant day.

·        All fees and charges payable to the Manager and the Trustee are subject to the goods and services tax/sales and services tax/other taxes of a similar nature as may be imposed by the government or other authorities from time to time. 

This is for information only. It should not be construed as an offer or a solicitation of an offer to purchase or subscribe or to sell units. Units of the Fund are offered solely on the basis of the information contained in the Master Prospectus and Supplementary Prospectus (if any). If you are in doubt when considering the investment or the information provided, you are advised to consult a professional adviser.

Kenanga Investors Berhad 199501024358 (353563-P). All rights reserved.
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