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May bank Flex Income Fund (constituted on 6 November 2019 and launched on 28 November 2019)Manager: May bank Asset Management SDN BHD (Registration No. 199701006283) Trustee: IMF Trustees Malaysia
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How to fill out fund name fund code

01
Locate the fund name and fund code fields on the form or online platform where you are filling out the information.
02
Enter the full name of the fund exactly as it is listed, including any spaces, punctuation, or special characters.
03
Find the corresponding fund code, usually a combination of letters and numbers, and enter it accurately in the designated field.

Who needs fund name fund code?

01
Investors who are purchasing or selling mutual funds typically need the fund name and fund code to ensure they are selecting the correct investment product.
02
Financial advisors may also need this information to conduct transactions on behalf of their clients or provide accurate advice.
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Fund name fund code is a unique identifier assigned to a specific fund.
All financial institutions and organizations managing funds are required to file fund name fund code.
To fill out fund name fund code, you need to provide specific details about the fund including its name, type, and purpose.
The purpose of fund name fund code is to easily identify and track different funds in the financial system.
Information such as fund name, code, type, and purpose must be reported on fund name fund code.
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