NEWS ROOM
Date  News  

February 23rd 2018 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 26 February 2018, and the reinvestment will take effect on the same day for the below mentioned funds :


January 24th 2018 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 26 January 2018, and the reinvestment will take effect on the same day for the below mentioned funds :


December 28th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 28 December 2017, and the reinvestment will take effect on the same day for the below mentioned fund :


December 22nd 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 27 December 2017, and the reinvestment will take effect on the same day for the below mentioned fund :


December 21st 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 21 December 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


December 18th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 19 December 2017, and the reinvestment will take effect on the same day for the below mentioned fund :


December 18th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 18 December 2017, and the reinvestment will take effect on the same day for the below mentioned fund :


November 30th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 30 November 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


November 8th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 08 November 2017, and the reinvestment will take effect on the same day for the below mentioned fund :


October 27th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 30 October 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


October 23rd 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 31 October 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


September 29th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 29 September 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


September 26th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 26 September 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


August 29th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 11 September 2017, and the reinvestment will take effect on the same day for the below mentioned fund :


August 25th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 30 August 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


June 26th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 31 July 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


June 20th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 30 June 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


June 20th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 29 June 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


May 30th 2017 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for May 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


May 29th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 31 May 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


April 27th 2017 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for April 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF)


April 27th 2017 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for April 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


April 26th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 28 April 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


March 30th 2017 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for March 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF)


March 30th 2017 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for March 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


March 28th 2017 
Libra Shariah Liquidity Fund Series 2 (LSLF 2) Income Distribution for March 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 2 (LSLF 2)


March 28th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 28 March 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


March 22nd 2017 
Notification to All InvestorsIn a move to streamline our products and services, Libra Invest Berhad wishes to inform that with effect from 22 March 2017, the ONEINVEST INVESTMENT STRATEGY  oneINVEST / oneINVEST Islamic will no longer be available to new unit holders. Nevertheless, the change will not have any effect on existing unit holders that are currently invested in the ONEINVEST INVESTMENT STRATEGY as such unit holders will continue to enjoy the features therein.
For more information on our unit trust funds, and fees, charges and expenses of the funds, please refer to our Master Prospectus dated 22nd March 2017 or contact us at This email address is being protected from spambots. You need JavaScript enabled to view it.


March 22nd 2017 
Change of Performance Benchmark for Libra TacticalEXTRA FundLibra Invest Berhad would like to notify investors of a change in the performance benchmark for Libra TacticalEXTRA Fund (the “Fund”). The Fund which was previously benchmarked against the TE Benchmark will be benchmarked against the FTSE Bursa Malaysia KLCI with effect from 22 March 2017 in order to better reflect the investment objective of the Fund.


February 27th 2017 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for February 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


February 27th 2017 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for February 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF)


January 27th 2017 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for January 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF)


January 27th 2017 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for January 2017Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


January 27th 2017 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 31 January 2017, and the reinvestment will take effect on the same day for the below mentioned funds :


December 30th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for December 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


December 30th 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for December 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF)


December 28th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 30 December 2016, and the reinvestment will take effect on the same day for the below mentioned funds :


December 27th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 28 December 2016, and the reinvestment will take effect on the same day for the below mentioned funds :


November 29th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for November 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


November 29th 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for November 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF)


November 29th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 30 November 2016, and the reinvestment will take effect on the same day for the below mentioned funds :


October 28th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for October 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


October 28th 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for October 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF)


October 28th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 31 October 2016, and the reinvestment will take effect on the same day for the below mentioned funds :


October 26th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 27 October 2016, and the reinvestment will take effect on the same day for the below mentioned funds :


September 30th 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for September 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF)


September 26th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for September 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


September 26th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 27 September 2016, and the reinvestment will take effect on the same day for the below mentioned funds :


September 26th 2016 
Libra Shariah Liquidity Fund Series 2 (LSLF Series 2) Income Distribution for September 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 2


August 30th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 30 August 2016, and the reinvestment will take effect on the same day for the below mentioned fund :


August 29th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for August 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


August 25th 2016 
Change of Performance Benchmark for ShariahCompliant FundsLibra Invest Berhad would like to notify investors of the change in performance benchmark for Libra SyariahEXTRA Fund, Libra ASnitaBOND Fund and Libra Shariah Liquidity Fund Series 2 with effect from 1 July 2016. The abovementioned Shariahcompliant Funds were previously benchmarked against the Maybank General Investment AccountI (“GIAi").The Maybank GIAi uses a Shariah principle (Mudharabah) which is no longer deemed as a deposit. Hence, the above three Shariahcompliant Funds have since adopted the Maybank Islamic Fixed Depositi Rate in place of the Maybank GIAI, as outlined in the table below:
Note 1: Over the long term, equity asset allocation would range between 40%60% of the Fund’s NAV and fixed income/sukuk and liquid asset would range between 40%60% of the Fund’s NAV. Therefore, the composite benchmark is a reflection of the Fund’s average asset allocation over the long term of 50% of the Fund’s NAV in equity and 50% of the Fund’s NAV in fixed income/sukuk and liquid asset.


July 28th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for July 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


July 28th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 29 July 2016, and the reinvestment will take effect on the same day for the below mentioned fund :


June 29th 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for June 2016 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of June 2016.


June 29th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for June 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


June 28th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 30 June 2016, and the reinvestment will take effect on the same day for the below mentioned fund :


June 27th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 27 June 2016, and the reinvestment will take effect on the same day for the below mentioned funds :


May 30th 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for May 2016 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of May 2016.


May 30th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 31 May 2016, and the reinvestment will take effect on the same day for the below mentioned fund :


May 30th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for May 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


April 29th 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for April 2016 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of April 2016.


April 28th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for April 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


April 28th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 29 April 2016, and the reinvestment will take effect on the same day for the below mentioned funds :


March 31st 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for March 2016 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of March 2016.


March 31st 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for March 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


March 29th 2016 
Libra Invest Berhad Announce Income DistributionKindly note that there will be an income distribution on 31 March 2016, and the reinvestment will take effect on the same day for the below mentioned fund :


March 29th 2016 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 29 March 2016, and the reinvestment will take effect on the same day for the below mentioned funds :


March 18th 2016 
Relocation of Libra Invest Berhad Services Centres Kindly note that we have relocated our Penang, Seremban, Melaka, Kota Bharu, Kota Kinabalu & Kuching Service Centre to Principal Office, Kuala Lumpur on 18 March 2016. 

February 29th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for February 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


February 29th 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for February 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of February 2016.


February 29th 2016 
Libra Invest Berhad Announce Income DistributionKindly note that there will be an income distribution on 29 February 2016, and the reinvestment will take effect on the same day for the below mentioned fund :


January 28th 2016 
Libra Shariah Liquidity Fund Series 3 (LSLF Series 3) Income Distribution for January 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund Series 3


January 28th 2016 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for January 2016Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of January 2016.


January 28th 2016 
Libra Invest Berhad Announce Income DistributionKindly note that there will be an income distribution on 29 January 2016, and the reinvestment will take effect on the same day for the below mentioned fund :


December 31st 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for December 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of December 2015.


December 23rd 2015 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 28 December2015, and the reinvestment will take effect on the same day for the below mentioned funds :


December 1st 2015 
Relocation of Libra Invest Berhad Ipoh Service Centre Kindly note that we have relocated our Ipoh Service Centre to Principal Office, Kuala Lumpur on 1 December 2015. 

November 30th 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for October 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of November 2015


November 25th 2015 
Libra Invest Berhad Announce Income DistributionKindly note that there will be an income distribution on 25 November 2015, and the reinvestment will take effect on the same day for the below mentioned fund :


October 30th 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for October 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of October 2015


October 28th 2015 
Libra Invest Berhad Announce Income DistributionKindly note that there will be an income distribution on 30 October 2015, and the reinvestment will take effect on the same day for the below mentioned fund :


October 27th 2015 
Libra Invest Berhad Announce Income DistributionKindly note that there will be an income distribution on 27 October 2015, and the reinvestment will take effect on the same day for the below mentioned fund :


September 29th 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for September 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of September 2015.


September 25th 2015 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 28 September 2015, and the reinvestment will take effect on the same day for the below mentioned funds :


September 10th 2015 
Libra Invest Berhad Announce Income DistributionKindly note that there will be an income distribution on 10 September 2015, and the reinvestment will take effect on the same day for the below mentioned fund :


August 27th 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for August 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of August 2015.


August 26th 2015 
Libra Invest Berhad Announce Income DistributionKindly note that there will be an income distribution on 26 August 2015, and the reinvestment will take effect on the same day for the below mentioned fund :


July 31st 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for July 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of July 2015.


July 28th 2015 
Libra Invest Berhad Announce Income DistributionKindly note that there will be an income distribution on 28 July 2015, and the reinvestment will take effect on the same day for the below mentioned fund :


June 30th 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for June 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of June 2015.


June 26th 2015 
Libra Invest Berhad Announce Income DistributionsKindly note that there will be an income distribution on 26 June 2015, and the reinvestment will take effect on the same day for the below mentioned funds :


May 29th 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for May 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of May 2015.


May 26th 2015 
Libra MoneyEXTRA Fund II (LMEF II) Income Distribution for May 2015 We are please to announce
that Libra Invest Berhad
has declared an income
distribution of RM0.0015
per unit for Libra
MoneyEXTRA Fund II (“LMEF II”) 

April 29th 2015 
LSLF Income Declaration on 29 April 2015 and Income Distribution on 30 April 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of April 2015.


April 24th 2015 
Libra Invest Berhad Announce Income Distribution on 27 April 2015 Kindly note that there will be an income distribution on 27 April 2015, and the reinvestment will take effect on the same day for the below mentioned fund :


March 31st 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for March 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of March 2015.


March 25th 2015 
Libra Invest Berhad Announce Income Distributions on 26 March 2015Kindly note that there will be an income distribution on 26 March 2015, and the reinvestment will take effect on the same day for the below mentioned funds :


February 27th 2015 
Libra Shariah Liquidity Fund (LSLF) Income Distribution for February 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of February 2015.


February 26th 2015 
Libra Invest Berhad Announce Income Distribution We are please to announce
that Libra Invest Berhad
has declared an income
distribution of RM0.0015
per unit for Libra
MoneyEXTRA Fund II ("LMEF II") on 26 February 2015. 

January 30th 2015 
LSLF Income Declaration on 29 January 2015 and Income Distribution on 30 January 2015 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of January 2015.


January 27th 2015 
Libra Invest Berhad Announce Income Distribution We are please to announce
that Libra Invest Berhad
has declared an income
distribution of RM0.0015
per unit for Libra
MoneyEXTRA Fund II ("LMEF II") on 27 January 2015. 

December 30th 2014 
LSLF Income Declaration on 30 December 2014 and Income Distribution on 31 December 2014 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of December 2014.


December 30th 2014 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of RM0.0399
per unit for Libra
IncomeEXTRA Fund (“LIEF”) and 

December 30th 2014 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of RM0.0399
per unit for Libra
IncomeEXTRA Fund (“LIEF”) and 

December 24th 2014 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of RM0.0042
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
RM0.0015 per unit for
Libra MoneyEXTRA Fund II (“LMEF II”),
RM0.0039 per unit for
Libra Liquidity Fund (“LLF”)
and RM0.0043 per unit for
Libra Dana Safa Fund (“LDSF”)
on 26 December 2014.


November 28th 2014 
LSLF Income Declaration on 27 November 2014 and Income Distribution on 28 November 2014 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of November 2014.


November 25th 2014 
Libra Invest Berhad Announce Income DistributionWe are please to announce that Libra Invest Berhad has declared an income distribution of RM0.0015 per unit for Libra MoneyEXTRA Fund II (“LMEF II”) 

October 30th 2014 
LSLF Income Declaration on 30 October 2014 and Income Distribution on 31 October 2014 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of October 2014.


October 27th 2014 
Libra Invest Berhad Announce Income Distribution We are please to announce
that Libra Invest Berhad
has declared an income
distribution of RM0.0015
per unit for Libra
MoneyEXTRA Fund II (“LMEF II”)
on 28 October 2014. 

September 30th 2014 
LSLF Income Declaration on 29 September 2014 and Income Distribution on 30 September 2014 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of September 2014.


September 26th 2014 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of 0.42 cent
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
0.45 cent per unit for
Libra MoneyEXTRA Fund II
(“LMEF II”), 0.39 cent
per unit for Liquidity
Fund (“LLF”) and 0.43
cent per unit for
Libra Dana Safa Fund(“LDSF”)
on 26 September 2014. 

September 25th 2014 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
will declare an income
distribution of 0.42 cent
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
0.45 cent per unit for
Libra MoneyEXTRA Fund II
(“LMEF II”), 0.39 cent
per unit for Liquidity
Fund (“LLF”) and 0.43
cent per unit for
Libra Dana Safa Fund(“LDSF”)
on 26 September 2014. 

August 29th 2014 
LSLF Income Declaration on 28 August 2014 and Income Distribution on 29 August 2014 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of August 2014.


July 31st 2014 
LSLF Income Declaration on 30 July 2014 and Income Distribution on 31 July 2014 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of July 2014.


June 30th 2014 
LSLF Income Declaration on 27 June 2014 and Income Distribution on 30 June 2014 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of June 2014.


June 24th 2014 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of 0.36 cent
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
0.40 cent per unit for
Libra MoneyEXTRA Fund II
(“LMEF II”), 0.38 cent
per unit for Liquidity
Fund (“LLF”) and 0.37
cent per unit for
Libra Dana Safa Fund(“LDSF”)
on 25 June 2014. 

May 29th 2014 
LSLF Income Declaration on 29 May 2014 and Income Distribution on 30 May 2014 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of May 2014.


May 5th 2014 
Libra Invest Berhad Announce Income Distribution We are pleased to announce
that Libra Invest Berhad
has declared an income
distribution of 8.00 cent per
unit for Libra DividendEXTRA
Fund (“LDEF") on 5 May 2014. 

May 2nd 2014 
Libra Invest Berhad Announce Income Distribution We are pleased to announce
that Libra Invest Berhad
will declare an income
distribution of 8.00 cent per
unit for Libra DividendEXTRA
Fund (“LDEF") on 5 May 2014. 

April 29th 2014 
LSLF Income Declaration on 29 April 2014 and Income Distribution on 30 April 2014 Libra Invest declares income distribution for Libra Shariah Liquidity Fund (LSLF) for the month of April 2014.


March 26th 2014 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of 0.36 cent
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
0.25 cent per unit for
Libra MoneyEXTRA Fund II
(“LMEF II”), 0.38 cent
per unit for Liquidity
Fund (“LLF”) and 0.37
cent per unit for
Libra Dana Safa Fund(“LDSF”)
and 2.50 cent per unit for
Libra ASnitaBond (“AsBond”)
on 26 March 2014. 

December 26th 2013 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of 0.36 cent
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
0.46 cent per unit for
Libra MoneyEXTRA Fund II
(“LMEF II”), 0.19 cent
per unit for Liquidity
Fund (“LLF”) and 0.37
cent per unit for
Libra Dana Safa Fund(“LDSF”)
on 26 December 2013. 

September 26th 2013 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of 0.36 cent
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
0.19 cent per unit for
Libra Liquidity Fund (“LLF”)
and 0.37 cent per unit for
Libra Dana Safa Fund (“LDSF”)
on 25 September 2013.


June 26th 2013 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of 0.36 cent
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
0.19 cent per unit for
Libra Liquidity Fund (“LLF”)
and 0.37 cent per unit for
Libra Dana Safa Fund (“LDSF”)
on 25 June 2013.


March 26th 2013 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of 0.36 cent
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
0.19 cent per unit for
Libra Liquidity Fund (“LLF”)
and 0.37 cent per unit for
Libra Dana Safa Fund (“LDSF”)
on 26 March 2013.


March 14th 2013 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of 0.36 cent
per unit for Libra
ASnitaBond Fund,
and 6.00cent per unit for
Libra DividendEXTRA Fund
on 13th March 2013.


December 27th 2012 
Libra Invest Berhad Announce Income DistributionsWe are please to announce that Libra Invest Berhad has declared an income distribution of 0.36 cent per unit for Libra MoneyEXTRA Fund (“LMEF”) and 0.37 cent per unit for Libra Dana Safa Fund (“LDSF”) on 27th December 2012. 

September 25th 2012 
Libra Invest Berhad Announce Income Distributions We are please to announce
that Libra Invest Berhad
has declared an income
distribution of 0.36 cent
per unit for Libra
MoneyEXTRA Fund (“LMEF”),
0.19 cent per unit for
Libra Liquidity Fund (“LLF”)
and 0.37 cent per unit for
Libra Dana Safa Fund (“LDSF”)
on 25th September 2012.


October 26th 2011 
Libra Invest Berhad Launches Libra Value Opportunity Fund Libra Invest Berhad ("LIB"),
a member of the ECM Libra Group,
today announced the launch
of Libra Value Opportunity Fund.


June 23rd 2011 
Libra Invest Berhad Launches Libra MONEYEXTRA Fund II Libra Invest Berhad (“LIB”),
a member of the ECM Libra Group,
today announced the launch of the
Libra MONEYEXTRA Fund II. 

June 9th 2011 
Change Funds Name We are please to announce
that Libra Invest Berhad (formerly
known as Avenue Invest Berhad)
Funds will carry the prefix "Libra"
effective 8th June 2011.


May 6th 2011 
Change Of Company Name We are please to announce
that Avenue Invest Berhad,
a member of the
ECM Libra Financial Group,
has been renamed
to Libra Invest Berhad
with effect from
5th May 2011.


March 2nd 2010 
Avenue TacticalEXTRA, Best Mixed Asset MYR Flexible for over three years Avenue TacticalEXTRA,
Best Mixed Asset MYR
Flexible for over
three years


August 25th 2016 
Change of Performance Benchmark for ShariahCompliant FundsLibra Invest Berhad would like to notify investors of the change in performance benchmark for Libra SyariahEXTRA Fund, Libra ASnitaBOND Fund and Libra Shariah Liquidity Fund Series 2 with effect from 1 July 2016. The abovementioned Shariahcompliant Funds were previously benchmarked against the Maybank General Investment AccountI (“GIAi").The Maybank GIAi uses a Shariah principle (Mudharabah) which is no longer deemed as a deposit. Hence, the above three Shariahcompliant Funds have since adopted the Maybank Islamic Fixed Depositi Rate in place of the Maybank GIAI, as outlined in the table below:
Note 1: Over the long term, equity asset allocation would range between 40%60% of the Fund’s NAV and fixed income/sukuk and liquid asset would range between 40%60% of the Fund’s NAV. Therefore, the composite benchmark is a reflection of the Fund’s average asset allocation over the long term of 50% of the Fund’s NAV in equity and 50% of the Fund’s NAV in fixed income/sukuk and liquid asset.
