A joint initiative of IMAS and LIA
imas
lia

Fund House: Domicile:

USD
NAV (As of ):
Investment Objective

Annualized Returns
    Figures shown are annualized and not an indication of future performance
    Dividend
    • Income distribution-
    • 12 months yield-
    • Last dividend-
    • Ex-dividend date-
    Environmental Social and Governance (ESG)
    This fund is not ESG rated.
    About the fund

            Fund Documents
            FactsheetN/A
            Factsheet