Page 14 - 2Q2021 RETAIL WEALTH ADVISORY Playbook
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Growth Portfolio – Risk 4
5%
15.0%
15%
36.0%
19.0%
20% 60%
30.0%
Equity Fixed Income Alternatives/Tactical Cash Global Asia Malaysia China
Fund Recommendations
Asset Class Geography Fund Name RR Allocation
Equity Global United Global Quality Equity Fund 4 36.0%
Equity Asia TA Asia Absolute Alpha Fund 4 24.0%
Fixed Income Malaysia Maybank Malaysia Sukuk Fund 2 14.0%
Fixed Income Asia Affin Hwang Select Bond Fund 2 6.0%
Equity China RHB Big Cap China Enterprise Fund 4 15.0%
Cash Malaysia Maybank Money Market-i Fund 1 10.0%
Retail Bond Recommendations
Government Bonds (AAA, AA, A, BBB) IG Corporate Bonds (AAA, AA, A, BBB)
Perpetual Bonds (BBB)
Structured Product Recommendations
MRI – Principal Protected Credit Linked Investment (AA, A)
MRI – Partial Principal Protected
Cash Solutions
Social Impact Deposit Fixed Deposit
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