Page 18 - 2Q2021 RETAIL WEALTH ADVISORY Playbook
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Income Portfolio – Risk 5







                          20%                                           20.0%




                    5%                                             5.0%                        45.0%






                                             75%                       30.0%







                  Equity  Fixed Income  Alternatives/Tactical       Global   Asia  Malaysia  Singapore

        Fund Recommendations
         Asset Class       Geography      Fund Name                                                   RR  Allocation
         Equity              Global       United Global Durable Equity Fund                            4     45.0%
         Equity               Asia        Affin Hwang Select Asia Pacific (ex Japan) Dividend Fund     4     30.0%
         Fixed Income       Malaysia      Maybank Malaysia Sukuk Fund                                  2      5.0%
         REITS             Singapore      Maybank Singapore REITs Fund                                 3     20.0%


        Retail Bond Recommendations
           Government Bonds (AAA, AA, A, BBB)                    IG Corporate Bonds (AAA, AA, A, BBB)

           Perpetual Bonds (BBB)                                 Non-IG Corporate Bonds (High Yield)

        Structured Product Recommendations

           MRI – Principal Protected                             Credit Linked Investment (AA, A, BBB)
           MRI – Partial Principal Protected                     Autocallable Equity Linked Investment

           Participation – Bonus Enhanced                        Participation – Bonus Certification




















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