Announcement of Maybank Financial Institutions Income Fund’s Annual Management Fee Revision

Maybank Asset Management Sdn Bhd wishes to notify that the Annual Management Fee of Maybank Financial Institutions Income Fund will be revised as below effective 25 November 2024:

  • Maybank Financial Institutions Income Fund (Class A): 0.50%
  • Maybank Financial Institutions Income Fund (Class B): 0.35%

This announcement is dated 25 November 2024.

For more information, kindly contact our Client Servicing Team at +603 2297 7888 or email mamcs@maybank.com.my



Back to Top