Franklin Templeton GSC Asset Management Sdn. Bhd
RHB Islamic International Asset Management Berhad
The Scheme seeks to achieve medium to long-term capital appreciation by primarily investing in securities of developed and emerging markets globally. Up to 99.8% of the Schemes NAV invests in Equities in developed or emerging markets, fixed income securities of developed markets or debt instruments with investment grade rating at the time of purchase as rated by recognised rating agencies. There is no target industry/ sector. The Scheme will primarily invest in equity securities of developed and emerging markets. It may also invest in fixed income securities of developed markets or debt instruments with, investment grade rating at the time of purchase as rated by recognised rating agencies.