Public Mutual Berhad
Menara Public Bank 2
No.78, Jalan Raja Chulan
About Public Mutual Berhad
Public Mutual Berhad, a wholly-owned subsidiary of Public Bank, is No.1* in both private unit trusts and Private Retirement Scheme in Malaysia. It commands a market share of 32.9%** and 45%** for the retail funds sector and PRS respectively. The Company manages more than 160 funds in-house for over 4.5 million accountholders. As at end-September 2021, Public Mutual’s total net asset value stood at more than RM100 billion^.
The Company’s investment philosophy is based on fundamental research with the objective of delivering superior and consistent returns over the medium- to long-term. Public Mutual offers a comprehensive range of products comprising conventional and Shariah-based series of funds to cater to its investors’ needs and risk appetite. The Company is also an approved PRS provider and offers nine core and non-core PRS funds to suit investors’ age, preference and risk tolerance. In addition, the Company offers other financial planning services in the form of Investment Planning, Will and Wasiat Writing and Insurance/Takaful.
Public Mutual has an extensive distribution force of more than 30,000 unit trust consultants and is supported by 31 customer service centres/branches nationwide. In addition, the Company is augmented by more than 260 Public Bank branches, which also function as Public Mutual’s ubiquitous collection centres.
*In terms of total retail fund size managed amongst private unit trust companies and PRS providers in Malaysia. Source: The Edge Lipper: 25 October 2021.
**Source: The Edge Lipper: 25 October 2021.
^ Source: As listed in Lipper, October 2021 and inclusive of our wholesale funds.
7 jobs with Public Mutual Berhad
Job responsibilities: Prepare, review and proofread financial, economic and investment reports, articles and other relevant materials within the E...
Managing assigned investment portfolios and ensure the funds perform on an optimal basis.
Generate investment ideas to be implemented for the equity portfolios
Responsible for monitoring, forecasting and writing narratives on the outlook of key regional and global economies.
To undertake the compilation, maintanence and updating of data/ statistics on funds, stocks and indices
Seeking for analysts who will be integral members of the research team and be responsible for providing stock recommendations.
To perform credit analysis on fixed income securities and to monitor developments on issuers/ industries.