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Malaysias headline index, the Kuala Lumpur Composite Index (KLCI) is now enhanced and
FEATURES
known as FTSE Bursa Malaysia KLCI. Part of the FTSE Bursa Malaysia Index Series, the 30 stocks
tradable index is representative, liquid and transparent providing domestic and international
Coverage
(MYR)
150
140
130
120
Objective
110
100
90
Mar-2010
Mar-2011
Mar-2012
Mar-2013
Mar-2014
performance benchmark.
Mar-2015
Investability
Return %
Return pa %*
Volatility %**
is tradable.
3M
6M
YTD
12M
3YR
5YR
3YR
5YR
1YR
3YR
5YR
3.9
-0.8
3.9
-1.0
14.7
38.6
4.7
6.8
8.4
9.5
8.9
Transparency
4.1
-2.8
4.1
-1.8
14.8
40.3
4.7
7.0
8.5
9.8
9.5
Availability
2005
2006
2007
2008
2009
2010
2011
2012
2013
2014
-0.8
21.8
31.8
-39.3
45.2
19.3
0.8
10.3
10.5
-5.7
and end-of-day.
36.8
-41.6
48.6
21.9
1.1
9.0
12.4
-6.1
Sharpe Ratio
Drawdown (%)
1YR
3YR
5YR
10YR
1YR
3YR
5YR
10YR
-0.1
0.5
0.8
0.6
-11.6
-11.6
-12.2
-40.2
-0.2
0.5
0.7
-13.1
-13.1
-13.3
Source: FTSE Group as at 31 March 2015. Past performance is no guarantee of future results. Please see disclaimer for important legal information.
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Top 10 Constituents
INFORMATION
Constituent
ICB Sector
Wgt %
Banks
58,681
11.29
Tenaga Nasional
Electricity
50,628
9.74
Malayan Banking
Banks
44,336
8.53
Index Launch
Index Universe
Bursa Malaysia Main Market
Banks
32,759
6.30
Mobile Telecommunications
30,494
5.87
General Industrials
28,913
5.56
Base Date
Digi.com
Mobile Telecommunications
23,512
4.52
Genting
19,949
3.84
Maxis Bhd
Mobile Telecommunications
18,874
3.63
Base Value
Petronas Gas
18,220
3.51
100
326,365
62.78
Totals
Investability Screen
Free-float adjusted and liquidity screened
1 January 1977
Index Calculation
No. of
Cons
Wgt %
No. of
Cons
Wgt %
0500
33,231
6.39
28
52,379
7.28
1300
Chemicals
16,243
3.12
20,188
2.80
1700
Basic Resources
11
3,123
0.43
Currency
2300
31
35,351
4.91
2700
41,419
7.97
44
66,563
9.25
3300
7,181
1.38
7,181
1.00
3500
42,401
8.16
19
52,920
7.35
3700
9,802
1.89
11
12,566
1.75
Historical Data
4500
Health Care
16,464
3.17
10
28,519
3.96
5300
Retail
5,685
0.79
5500
Media
4,989
0.96
7,864
1.09
5700
32,502
6.25
12
44,949
6.24
6500
Telecommunications
88,224
16.97
90,019
12.50
7500
Utilities
59,594
11.46
67,318
9.35
8300
Banks
164,619
31.67
172,028
23.89
8500
Insurance
2,526
0.35
8600
Real Estate
3,155
0.61
47
35,573
4.94
8700
Financial Services
8,398
1.17
9500
Technology
Totals
14
6,825
0.95
30
519,825
100.00
281
719,975
100.00
Review Dates
Semi-annually in June and December
Index Characteristics
Attributes
30
281
519,825
719,975
3.19
3.01
Average
17,328
2,562
Largest
58,681
58,681
Smallest
3,155
Median
12,530
384
Number of constituents
Net MCap (MYRm)
Dividend Yield %
Constituent Sizes (Net MCap MYRm)
11.29
8.15
62.78
45.33
31 March 2015
Source: FTSE Group as at 31 March 2015. Past performance is no guarantee of future results. Please see disclaimer for important legal information.
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FTSE is a trade mark of the London Stock Exchange Group companies and is used by FTSE International Limited (FTSE) under licence. The Industry
Classification Benchmark (ICB) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or
omission in the ICB. Bursa Malaysia is a trade mark of Bursa Malaysia (Partner). All rights in and to the FTSE Bursa Malaysia KLCI (Index) vest in FTSE
and/or its relevant Partner(s).
All information is provided for information purposes only. Every effort is made to ensure that all information given in this
factsheet is accurate, but no responsibility or liability can be accepted by FTSE, any Partner or their licensors for any errors or for any loss from use of this
publication. Neither FTSE, Partner nor any of their licensors makes any claim, prediction, warranty or representation whatsoever, expressly or impliedly,
either as to the results to be obtained from the use of the index/indices set out above or the fitness or suitability of the index/indices for any particular
purpose to which it might be put. Nothing in this factsheet constitutes financial or investment advice. FTSE is not an investment adviser and makes no
representation regarding the advisability of investing in any security/investment vehicle. A decision to invest in any such security/investment vehicle should
not be made in reliance on any information above. Indices cannot be invested in directly. Inclusion of a security in an index is not a recommendation to
buy, sell or hold such security. Please see ftse.com for additional legal disclosures and complete index methodology details. All figures and graphical
representations in this publication refer to past performance and are sourced by FTSE. Past performance is no guarantee of future results. Charts and
graphs are provided for illustrative purposes only. Index returns shown do not represent the results of the actual trading of investable assets. Certain
returns shown may reflect back-tested performance. All performance presented prior to the index inception date is back-tested performance. Back-tested
performance is not actual performance, but is hypothetical. The back-test calculations are based on the same methodology that was in effect when the
index was officially launched. However, back-tested data may reflect the application of the index methodology with the benefit of hindsight, and the historic
calculations of an index may change from month to month based on revisions to the underlying economic data used in the calculation of the index. No part
of this information may be reproduced, stored in a retrieval system or transmitted in any form or by any means, electronic, mechanical, photocopying,
recording or otherwise, without prior written permission of FTSE. Distribution of FTSE data and the use of FTSE indices to create financial products requires
a licence with FTSE and/or its licensors.
Source: FTSE Group as at 31 March 2015. Past performance is no guarantee of future results. Please see disclaimer for important legal information.
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