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Lipper Award 2026

True prestige is not won; it is nurtured. We are honoured by the recognition, but our greatest reward is the gentle confidence of the families who entrust us with their tomorrow.

LSEG LIPPER FUND AWARDS 2026
1. Best Fund Group (Equity) - Malaysia
2. Best Fund Group (Mixed Assets) - Malaysia
3. Best Fund Group (Mixed Assets) - Malaysia Islamic
4. Best Fund Group (Bond) - Malaysia Islamic
5. Public Lifestyle & Technology Fund Equity Global - Malaysia, 3 years
6. Public e-Islamic Pioneer Entrepreneur 40 Fund Equity Global - Malaysia Islamic, 3 years
7. Public Asia Pacific Focus Fund Equity Asia Pacific - Malaysia, 3 years
8. Public e-Asia Evolving Growth Fund Equity Asia Pacific Ex Japan - Malaysia, 3 years
9. Public China Select Fund Equity Greater China - Malaysia, 3 years
10. Public Far-East Property & Resorts Fund Equity Sector Real Estate Asia Pacific - Malaysia, 3 years
11. Public Islamic Asia Tactical Allocation Fund Mixed Asset MYR Flexible - Malaysia Islamic, 3 years
12. Public Growth Balanced Fund Mixed Asset MYR Balanced - Malaysia - Malaysia, 3 years
13. Public Enhanced Bond Fund Mixed Asset MYR Conservative - Malaysia Provident, 3 years
14. Public Islamic Enhanced Bond Fund Mixed Asset MYR Conservative - Malaysia Islamic, 3 years
15. PB Infrastructure Bond Fund Bond MYR - Malaysia, 3 years
16. PB Aiman Sukuk Fund Bond Sukuk Malaysia MYR - Malaysia Islamic, 3 years
17. PB Global Technology & Healthcare Fund Equity Global - Malaysia, 5 years
18. Public e-Islamic Sustainable Millennial Fund Equity Global - Malaysia Islamic, 5 years
19. PB Asia Equity Fund Equity Asia Pacific - Malaysia, 5 years
20. Public Far-East Dividend Fund Equity Asia Pacific Ex Japan - Malaysia, 5 years
21. Public China Select Fund Equity Greater China - Malaysia, 5 years
22. Public Far-East Property & Resorts Fund Equity Sector Real Estate Asia Pacific - Malaysia, 5 years
23. Public Focus Select Fund Equity Malaysia Small & Mid Cap - Malaysia, 5 years
24. PB Balanced Sequel Fund Mixed Asset MYR Balanced - Malaysia - Malaysia, 5 years
25. Public Enhanced Bond Fund Mixed Asset MYR Conservative - Malaysia Provident, 5 years
26. Public Far-East Dividend Fund Equity Asia Pacific Ex Japan - Malaysia, 10 years
27. PB ASEAN Dividend Fund Equity ASEAN - Malaysia, 10 years
28. Public Dividend Select Fund Equity Malaysia Income - Malaysia, 10 years
29. Public Select Treasures Equity Fund Equity Malaysia Small & Mid Cap - Malaysia Provident, 10 years
30. Public Growth Balanced Fund Mixed Asset MYR Balanced - Malaysia - Malaysia, 10 years
31. Public Islamic Growth Balanced Fund Mixed Asset MYR Balanced - Malaysia - Malaysia Islamic, 10 years
32. Public Ehsan Mixed Asset Conservative Fund Mixed Asset MYR Conservative - Malaysia Provident, 10 years
33. PB Mixed Asset Conservative Fund Mixed Asset MYR Conservative - Malaysia, 10 years

Investors are advised to read and understand the contents of the Master Prospectus 1 of Public Series of Funds, Master Prospectus 1 of Public Series of Shariah-based Funds, Master Prospectus of Public e-Series of Funds, Master Prospectus of Public e-Series of Shariah-based Funds and Master Prospectus 1 of PB Series of Funds dated 28 August 2023, 1st Supplemental Prospectus of Master Prospectus 1 of Public Series of Shariah-based Funds dated 26 February 2025, 1st Supplemental Prospectus of Master Prospectus 1 of Public Series of Funds, 2nd Supplemental Prospectus of Master Prospectus 1 of Public Series of Shariah-based Funds and 1st Supplemental Prospectus of Master Prospectus 1 of PB Series of Funds dated 3 December 2025 and the relevant funds’ Product Highlights Sheet (PHS) before investing. Investors should understand the risks, fees, charges and costs involved in investing in the fund. A copy of the Prospectus and PHS can be viewed at our website at www.publicmutual.com.my. Investors should make their own assessment of the merits and risks of the investment. If in doubt, investors should seek professional advice. Please refer to www.publicmutual.com.my for our investment disclaimer. Past performance of the funds is not a reliable indicator of future performance.