Growing Your Investments in a Changing World


The information contained in this website is for general information only and may not be published, circulated, reproduced or distributed in whole or part, whether directly or indirectly, to any person without the prior written consent of AmFunds Management Berhad (“AmInvest”). It should not be construed as an offer or solicitation for the purchase or sale of any units in AmInvest’s unit trust fund(s)/ Private Retirement Scheme (PRS). AmInvest has relied upon the accuracy and completeness of relevant information available from public sources. AmInvest does not warrant the accuracy, adequacy, timeliness or completeness of the information obtained from the public sources for any particular purpose, and expressly disclaims liability for any error, inaccuracy or omission. Investors shall be solely responsible for using and relying on any contents in this website.

Investors are advised to read and understand the contents of the respective fund's Prospectus/ Information Memorandum/ Disclosure Document, including any supplementary made thereof from time to time (“Prospectus(es)/ Disclosure Document(s)/ Information Memorandum(s)”) and its Product Highlights Sheet(s) (“PHS”) before making an/a investment/contributing decision. The Prospectus(es)/ Disclosure Document(s)/ Information Memorandum(s) and PHS have been registered with the Securities Commission Malaysia, which takes no responsibility for its contents. Investors can obtain a copy of the Prospectus(es)/ Disclosure Document(s)/ Information Memorandum(s) and PHS at www.aminvest.com.

The fund’s units will only be issued upon receipt of the complete application form accompanying the Prospectus(es)/ Disclosure Document(s)/ Information Memorandum(s). Past performance of the fund is not an indication of its future performance. The fund’s unit prices and income distribution payable, if any, may rise or fall. Where a unit split/distribution is declared, investors are advised that following the issue of additional units/distribution, the Net Asset Value (“NAV”) per unit will be reduced from pre-unit split NAV/cum-distribution NAV to post-unit split NAV/ex-distribution NAV. Please be advised that where a unit split is declared, the value of investor’s investment/contribution in Malaysian Ringgit will remain unchanged after the distribution of the additional units.

Please refer to the Prospectus(es)/ Disclosure Document(s)/ Information Memorandum(s) for detailed information on the specific risks of the fund(s). Investors are advised to consider these risks and other general risk elaborated, as well as the fees, charges and expenses involved before investing/ contributing. While our Shariah-compliant fund(s) have been structured to conform to Shariah principles, investors should seek their own independent Shariah advice prior to investing/ contributing in any of our Shariah-compliant fund(s).