(OA) interest rate Aviva MM Income Growth Fund Medium to High Risk 30% MSCI FE Free ex Japan & 70% CPF

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1 Risk Absolute Relative to Absolute Relative to Absolute Relative to Asset Alloc Asia Pac ex Japan Defensive Aviva Income Growth (SP) Medium to High Risk 30% MSCI FE Free ex Japan & 70% CPF Aviva MM Income Growth Medium to High Risk 30% MSCI FE Free ex Japan & 70% CPF Asset Alloc Asia Pac ex Japan Dynamic NTUC Enhanced Medium to High Risk 45% STI & 20% HSI & 15% SET & 20% SIBR3M Index Asset Alloc Asia Pac ex Japan Neutral AIA Acorns Of Asia Medium to High Risk 60% MSCI AC FE Free Ex Jap Free Ind & % JP Morgan Sing Bd Ind AIA Greater China Balanced Medium to High Risk 60% MSCI Golden Dragon Ind & 40% JP Morgan SG Bd Ind Aviva Balanced Growth (SP) Medium to High Risk 60% MSCI FE Free ex Japan & 40% CPF Aviva MM Balanced Growth Medium to High Risk 60% MSCI FE Free ex Japan & 40% CPF NTUC Prime Medium to High Risk 30% STI & 20% HSI & 10% SET & 40% SIBR3m Index Asset Alloc Fix Term Global Dynamic Tri-Sector (HSBC Low to Medium Risk 1 Month SIBID Asset Alloc Global Defensive AIA Portfolio 30 Low to Medium Risk 25% MSCI AC World Free Index & 75% JP Morgan Sing Bond Index AXA Inspire-Harvester Low to Medium Risk 50% JP Morgan World Bond & 30% MSCI World & 20% SIBOR 3 M Global Diversified Stable (HSBC Medium to High Risk 30% MSCI World & 70% CGWGBI (SGD) Greatlink Lifestyle Secured Portfolio Medium to High Risk Composite of Underlying s' Benchmarks John Hancock Cautious Portfolio Medium to High Risk 28% MSCI AC World Fr Ind 72%Citigroup G Bd Ind S$ Manulife Lifestyle Conservative Portfolio Medium to High Risk 40%CitiWldGovtBdExJapInd40%UOBSingGov tbd20%msciacwldfrind NTUC Income Conservative Medium to High Risk 5% STI 25% MSCI Wld S$ 20% UOB SG Gov Bd 50% Leh Glb Agg S$ OAC Retirewise Conservative Strategy Medium to High Risk Feeder Asset Alloc Global Dynamic AIA Portfolio 70 Medium to High Risk 65% MSCI AC Wld Fr Ind & 20% JP Mrg SG Bd Ind & 15% SSBWGBI AXA Inspire-Seeker Medium to High Risk 70% MSCI World & 30% JP Morgan World Global Diversified Growth (HSBC Medium to High Risk Bond 70% MSCI World & 30% CGWGBI (SGD) Greatlink Lifestyle Progressive Portolio Higher Risk Composite of Underlying s' Benchmarks John Hancock Adventurous Portfolio Medium to High Risk 60%MSCI AC Wrld F Ind 30%Citigroup G5 Bd Ind 10%Nasdaq Biotech I John Hancock Pacific Harvest Medium to High Risk 70% MSCI AC FE Fr ex Jap 30% Citigroup Wrld Govt Bd Ind S$ Manulife Lifestyle Growth Portfolio Higher Risk 10%CitiWldGovtBdExJapInd10%UOBSingGov tbd50%msciacwldfrind30%msci NTUC Income Growth Medium to High Risk 15% STI 55% MSCI Wld S$ 10% UOB SG Gov Bd 20% Leh Glb Agg S$ OAC Retirewise Growth Strategy Higher Risk Feeder UOBLIFE FOF-United Millennium Trust III Higher Risk 20% Sal G7 Gov Bond & 80% MSCI AC World Free Asset Alloc Global Neutral AIA Global Balanced Medium to High Risk 60% MSCI World Ind & 40% SSBWGBI AIA Portfolio 50 Medium to High Risk 45% MSCI AC Wld Fr Ind & 40% JP Mrg SG Bd Ind & 15% SSBWGBI Aviva Global Managed Balanced Medium to High Risk 50% MSCI World & 45% JP Morgan Glb (SP) Trade Bd & 5% LIBOR Aviva Templeton Global Balanced (SP) Medium to High Risk 60% MSCI AC Wrld Fr Gross Ind & 40% JP Morgan Glb Govt Bd Ind AXA Inspire-Planner Medium to High Risk 50% MSCI World & 40% JP Morgan World Bond & 10% SIBOR 3 M AXA Life-Smart Investment Medium to High Risk 60% MSCI Wrl-Price & 40% CGWGBI (USD hedged) Global Diversified Balanced (HSBC Medium to High Risk 50% MSCI World & 50% CGWGBI (SGD) Greatlink Global Optimum Medium to High Risk 40% MSCI World & 60% Citigrp World Gov Bond Ind (unhedged) Greatlink Global Supreme Medium to High Risk 50% MSCI World & 50% Citigrp World Gov Bond Ind (unhedged) Greatlink Lifestyle Balanced Portfolio Medium to High Risk Composite of Underlying s' Benchmarks Greatlink Lifestyle Steady Portfolio Medium to High Risk Composite of Underlying s' Benchmarks John Hancock Balanced Portfolio Medium to High Risk 55% MSCI AC Wrld Fr Index 45%Citigroup G Bd Ind S$ John Hancock Global Balanced Medium to High Risk 60% MSCI AC Wrld Fr Grs Ind & 40% JP Morgan Glb Gov Bd Ind Manulife Golden Balanced Growth Medium to High Risk 60% Straits Times Ind & 40% Salomon Wrld Bd Ind

2 Risk Absolute Relative to Absolute Relative to Absolute Relative to Manulife Golden Global Balanced Medium to High Risk 60% MSCI Ac World Free Index 40% SSB World Govt Bond ex Japan In Manulife Lifestyle Moderate Portfolio Medium to High Risk 20%CitiWldGovtBdExJapInd20%UOBSingGov tbd40%msciacwldfrind20%msci Manulife Lifestyle Secure Portfolio Medium to High Risk 30%CitiWldGovtBdExJapInd30%UOBSingGov tbd40%msciacwldfrind NTUC Income Balance Medium to High Risk 10% STI 40% MSCI Wld S$ 15% UOB SG Gov Bd 35% Leh Glb Agg S$ OAC Retirewise Balanced Strategy Medium to High Risk Feeder Premium Balanced (HSBC Medium to High Risk 30% MSCI World & 30% MSCI Singapore & % 3 M SIBOR Prulink Asian Reach Managed Medium to High Risk 50% MSCI FE Fr ex-jp/30% ML US Corp A rated&above/20% ML US Cor Prulink Global Managed Medium to High Risk 50% MSCI World Free Index & 50% UOBLIFE FOF-United Millennium Trust I Medium to High Risk SSBWGBI 60% Sal G7 Gov Bond & 40% MSCI AC World Free UOBLIFE FOF-United Millennium Trust II Medium to High Risk 40% Sal G7 Gov Bond & 60% MSCI AC World Free Asset Alloc Singapore Neutral AIA Growth Medium to High Risk 70% SES All Ind & 30% JP Morgan Sing Bd John Hancock Money Growth Plan Medium to High Risk Ind 60% STI & 40% SIBID NTUC Trust Medium to High Risk 60% STI & 40% SIBR3M Index Prulink Singapore Managed Medium to High Risk 70% MSCI Singapore Free Index & 30% UOB All Index Equity ASEAN Greatlink ASEAN Growth Higher Risk Composite Of MSCI SG/MY/Philippines/Thai/Indonesia (Gross) Equity Asia Pacific Greatlink Pan Asia Higher Risk MSCI AC Asia Pacific Index UOBLIFE FOF-United Asia Top-50 Higher Risk MSCI AC Far East Free Grs USD UOBLIFE FOF-United Regional Growth Higher Risk MSCI AC Asia Pacific FF USD Equity Asia Pacific ex Japan AIA Regional Equity Higher Risk MSCI AC FE Free ex-japan Index Asia Premier Growth Higher Risk MSCI AC Asia Pacific ex Japan Index Aviva Asia Pacific Growth (SP) Higher Risk FTSE Pacific ex-japan Aviva Capital Growth (SP) Higher Risk 90% MSCI FE Free ex Japan & 10% CPF Aviva MM Capital Growth Higher Risk 90% MSCI FE Free ex Japan & 10% CPF AXA Life-Value Growth Higher Risk 50% MSCI SG & 30% MSCI AC FE Fr ex-jap ex-sg & 20% 3-m SIBOR (SG Greatlink Enhancer Higher Risk MSCI All Countries Asia Pac ex Jp (Gross) Greatlink Far East Ex Japan Equities Higher Risk MSCI AC Far East Ex Japan Index John Hancock Pacific Equity Higher Risk MSCI AC Asia Pacific Free ex Japan Index John Hancock Pacific Finance Higher Risk MSCI AC FE Free ex Japan (S$) Manulife Golden Asia Growth Higher Risk MSCI AC Far East Free ex Japan Index Manulife Golden Southeas Asia Special Higher Risk MSCI Far East ex Japan ex Taiwan ex Korea Situations ex China ex Hong Kong NTUC Takaful Higher Risk 60% Dow Jones Islamic Index 20% STI 16% HSI 4% SET Premium Asia Growth (HSBC Higher Risk MSCI AC FE ex Japan (SGD) Prulink Asian Equity Higher Risk MSCI AC Far East Free Ex Japan Index UOB Lifelink Asia Higher Risk MSCI AC FE FR ex Japan USD UOBLIFE FOF-United Asia Higher Risk MSCI AC FE Fe ex-japan USD Equity China HSBC China Growth Higher Risk CLSA China World Index Equity China (Greater) AIA Greater China Equity Higher Risk MSCI Golden Dragon Index John Hancock Greater China Higher Risk MSCI Golden Dragon GRS USD Manulife Golden Regional China Higher Risk MSCI Golden Dragon Index UOBLIFE FOF-United Greater China Higher Risk MSCI Golden Dragon USD Equity Euroland Aviva European Growth (SP) Higher Risk DJ ESTOXX EUR Equity Europe Greatlink European Equity Higher Risk MSCI Europe Index John Hancock European Equity Higher Risk Morgan Stanley Composite Index (MSCI) Europe Index NTUC European Equity Higher Risk MSCI Europe Index Prulink European Blue Chip Higher Risk FTSE EuroTop 300 Index UOBLIFE FOF-United European Equity Higher Risk MSCI Europe USD

3 Risk Absolute Relative to Absolute Relative to Absolute Relative to Equity Europe Emerging Mkts Aviva EU Convergence Growth (SP) Higher Risk Not Applicable Equity Fix Term Asia Pacific ex Japan AIA Select Asia Low to Medium Risk Not Applicable Equity Fix Term Europe OAC Cap Protected Europe SGD Low to Medium Risk Not Applicable Equity Fix Term Global AIA Select Feng Shou Low to Medium Risk Not Applicable AIA Select Fu Yu Low to Medium Risk Not Applicable AIA Select Opportunity Low to Medium Risk Not Applicable AIA Select Safety Low to Medium Risk Not Applicable Aviva S$ Capital Protected 2 May 08 Low to Medium Risk Not Applicable Aviva S$ Capital Protected 6 Jun 07 Low to Medium Risk Not Applicable Aviva US$ Capital Protected 2 May 08 Low to Medium Risk Not Applicable John Hancock Capital Preservation Low to Medium Risk 12 mths SGD Fixed Deposit Rate NTUC Dynamic Guaranteed Low to Medium Risk 1 Month SIBID OAC Cap Protected Global SGD Low to Medium Risk Not Applicable Prulink Life Sciences Guaranteed II Low to Medium Risk Not Applicable Equity Fix Term Japan Prulink Japan Equity Guaranteed Low to Medium Risk Not Applicable Equity Fix Term North America Prulink Technology Guaranteed II Low to Medium Risk Not Applicable Equity Global AIA Portfolio 100 Higher Risk MSCI AC World Free Index Aviva Global Managed Equity (SP) Higher Risk MSCI World Index AXA Inspire-Entrepreneur Higher Risk MSCI World Index Global Diversified High Growth s Higher Risk MSCI World Index (SGD) (HSBC Global Dynamic All-Weather (HSBC Medium to High Risk 90% protective strategic for MSCI World USD Hedged Index in S$ Global Leaders (HSBC Higher Risk MSCI World Index (SGD) Global Strategic 50 (HSBC Higher Risk MSCI World Index (SGD) Greatlink Global 100 Growth Higher Risk MSCI World Index (Total Return) Greatlink Global Growth Trends Portfolio Higher Risk MSCI World Index Greatlink Global Intersection Higher Risk MSCI World Index Greatlink Global Value Equity Higher Risk MSCI World Index with Net Dividends Reinvested Greatlink Lifestyle Dynamic Portfolio Higher Risk Composite of Underlying s' Benchmarks John Hancock Worldwide Equity Higher Risk MSCI AC World Free Index S$ Manulife Golden Worldwide Equity Higher Risk MSCI World Free Index Manulife Lifestyle Aggressive Portfolio Higher Risk 50%MSCIACWorldFrIndex50%MSCIACFarEa stfrexjapanindex NTUC Global Equity Higher Risk MSCI World Index OAC Retirewise Aggressive Strategy Higher Risk Feeder Prulink Global Equity Higher Risk MSCI World Free Index Takaful Global (HSBC Higher Risk Dow Jones Islamic Market Index (DJIM) Takaful Sinaran (HSBC Medium to High Risk (SGD) Dow Jones Islamic Market Titans 100 Index (SGD) UOB Life FOF- UOB Optimix Worldwide Higher Risk MSCI AC World Free Index Equity UOB Lifelink Global Higher Risk MSCI AC World Free USD UOBLIFE FOF-International Growth Higher Risk MSCI AC World Free USD Equity Global Emerging Mkts Aviva Emerging Countries Growth Higher Risk MSCI Emerging Markets Free (SP) Equity Japan John Hancock Japan Growth Higher Risk Nikkei NTUC Japanese Equity Higher Risk Nikkei 225 Index UOBLIFE FOF-United Japan Growth Higher Risk Nikkei Equity Malaysia & Singapore Manulife Golden Singapore Growth Higher Risk Capital weighted MSCI Singapore Index and MSCI Malaysia Index UOB Lifelink Growth Higher Risk Singapore Straits Times Index UOBLIFE FOF-Unifund Higher Risk 50% SG Strait Times Ind & 50% KL EMAS Equity Singapore 3

4 Risk Absolute Relative to Absolute Relative to Absolute Relative to AXA Life-Fortress Higher Risk Top 30 Sing Incorporate co listed on STI equal weighted AXA Life-Fortress A Higher Risk Top 30 Sing Incorporate co listed on STI equal weighted Greatlink Singapore Equities Higher Risk MSCI Singapore Free Index NTUC Income Singapore Equity Higher Risk STI UOBLIFE FOF-United Growth Higher Risk Singapore Straits Times Index Fixed Income Europe AXA Life-Europe Preservation Growth Plus Low to Medium Risk Not Applicable Fixed Income Global Aviva Global Managed Bond Low to Medium Risk JP Morgan Global Trade Aviva Shenton Dynamic Bond (SP) Low to Medium Risk SalBro G5 WGB Index AXA Inspire-Guardian Low to Medium Risk 40% JP Morgan World Bond & 60% SIBOR Global Diversified Conservative Low to Medium Risk M CGWGBI (Citi Group World Govt. Bond Index) (HSBC (SGD) Greatlink Global Bond Low to Medium Risk Lehman Global Aggregate Bond Index 50% Hegded into SGD John Hancock Worlwide Bond Low to Medium Risk Citigroup G5 Bond Index S$ Manulife Golden International Bond Low to Medium Risk SSB Wrld Gov Bd Index (ex Japan) unhedged in S$ NTUC Income Global Bond Low to Medium Risk Lehman Global Aggregate in SGD Prulink Global Bond Low to Medium Risk SSB World Government Bond Index UOB Life FOF- UOB Optimix Worldwide Low to Medium Risk Citigroup World Govt Bond Index (1-3yrs) Bond Fixed Income SGD AIA Regional Fixed Income Low to Medium Risk JP Morgan Singapore Bond Index Greatlink Stable Bond Lower Risk 6 Months SIBID Manulife Singapore Bond Lower Risk UOB Government Bond Index All NTUC Singapore Bond Low to Medium Risk UOB SGS Long Index Premium Lion Bond (HSBC Lower Risk 6 month Step Ladder SIBID Floor s Global Prulink Protected Global Titans Low to Medium Risk CPF Ordinary Account Interest Rate Money Market SGD Greatlink Cash Lower Risk 1 Month Sing Doll Interbank Rate John Hancock Singapore Cash Lower Risk 3 Mth SIBOR Prulink Singapore Cash Lower Risk 1-Month SIBID Sector - Biotechnology John Hancock Life Sciences Higher Risk Nasdaq Biotechnology Index Manulife Golden Life Sciences Higher Risk Nasdaq Biotechnology Index Sector - Healthcare Global AIA International Healthcare Higher Risk MSCI World Index UOBLIFE FOF-United Global Healthcare Higher Risk MSCI ACWIF Healthcare USD Sector - TMT Global AIA Global Technology Higher Risk Merrill Lynch 100 Technology Index Global Communication (HSBC Higher Risk MSCI World Telecom Index (SGD) Greatlink Global Technology Higher Risk MSCI AC World IT Index John Hancock Global Technology Higher Risk MSCI World Information Technology Index Manulife Golden Global Technology Higher Risk FTSE World Index NTUC Technology Higher Risk Nasdaq Composite Index Prulink Global Technology Higher Risk FTSE World Information Technology Index NOTE: The symbol "-" denotes instances where the required information is not available. 4

5 3-YEAR RISK PERFORMANCE ANALYSIS & LATEST FUND SIZE AND EXPENSE RATIO INFORMATION Singapore Insurance Linked Information Ann Sharpe Volatility Best Qtr Worst Qtr Max Gain/Loss Latest Fnd Sz Dt Expense Expense Ratio Ratio Return Return Loss Ratio Ratio Ratio Rsk Fr 2.50% Size (m) (S$) Date Asset Alloc Asia Pac ex Japan Defensive Aviva MM Income Growth /03/ /03/2004 Aviva Income Growth (SP) /03/ /03/2004 Asset Alloc Asia Pac ex Japan Dynamic NTUC Enhanced /03/ /03/2004 Asset Alloc Asia Pac ex Japan Neutral AIA Acorns Of Asia /03/2004 * /12/2003 AIA Greater China Balanced /03/2004 * /12/2003 Aviva Balanced Growth (SP) /03/ /03/2004 Aviva MM Balanced Growth /03/ /03/2004 NTUC Prime /03/ /03/2004 Asset Alloc Fix Term Global Dynamic Tri-Sector (HSBC /03/2004 * /12/2003 Asset Alloc Global Defensive AIA Portfolio /03/2004 * /12/2003 AXA Inspire-Harvester /03/ /03/2004 Global Diversified Stable (HSBC /03/2004 * /12/2003 Greatlink Lifestyle Secured Portfolio /03/ /03/2004 John Hancock Cautious Portfolio /03/ /03/2004 Manulife Lifestyle Conservative Portfolio /03/ NTUC Income Conservative /03/ /03/2004 OAC Retirewise Conservative Strategy /03/2004 * /03/2003 Asset Alloc Global Dynamic AIA Portfolio /03/2004 * /12/2003 AXA Inspire-Seeker /03/ /03/2004 Global Diversified Growth (HSBC /03/2004 * /12/2003 Greatlink Lifestyle Progressive Portolio /03/ /03/2004 John Hancock Adventurous Portfolio /03/ /03/2004 John Hancock Pacific Harvest /03/ /03/2004 Manulife Lifestyle Growth Portfolio /03/ NTUC Income Growth /03/ /03/2004 OAC Retirewise Growth Strategy /03/2004 * /03/2003 UOBLIFE FOF-United Millennium Trust III /03/ /03/2004 Asset Alloc Global Neutral AIA Global Balanced /03/2004 * /12/2003 AIA Portfolio /03/2004 * /12/2003 Aviva Global Managed Balanced (SP) /03/ /03/2004 Aviva Templeton Global Balanced (SP) /03/ /03/2004 AXA Inspire-Planner /03/ /03/2004 AXA Life-Smart Investment /03/ /03/2004 Global Diversified Balanced (HSBC Insuranc /03/2004 * /12/2003 Greatlink Global Optimum /03/ /03/2004 Greatlink Global Supreme /03/ /03/2004 Greatlink Lifestyle Balanced Portfolio /03/ /03/2004 Greatlink Lifestyle Steady Portfolio /03/ /03/2004 John Hancock Balanced Portfolio /03/ /03/2004 John Hancock Global Balanced /03/ /03/2004 Manulife Golden Balanced Growth /03/ /03/2004 Manulife Golden Global Balanced /03/ /03/2004 Manulife Lifestyle Moderate Portfolio /03/ Manulife Lifestyle Secure Portfolio /03/ NTUC Income Balance /03/ /03/2004 OAC Retirewise Balanced Strategy /03/2004 * /03/2003 Premium Balanced (HSBC /03/2004 * /12/2003 Prulink Asian Reach Managed /03/ /03/2004 Prulink Global Managed /03/ /03/2004 UOBLIFE FOF-United Millennium Trust I /03/ /03/2004 UOBLIFE FOF-United Millennium Trust II /03/ /03/2004 Asset Alloc Singapore Neutral AIA Growth /03/2004 * /12/2003 John Hancock Money Growth Plan /03/ /03/2004 NTUC Trust /03/ /03/2004 Prulink Singapore Managed , /03/ /03/2004 Equity ASEAN Greatlink ASEAN Growth /03/ /03/2004 Equity Asia Pacific Greatlink Pan Asia /03/ /03/2004 UOBLIFE FOF-United Asia Top /03/ /03/2004 UOBLIFE FOF-United Regional Growth /03/ /03/2004 Equity Asia Pacific ex Japan AIA Regional Equity /03/2004 * /12/2003 Asia Premier Growth /03/ /03/2004 Aviva Asia Pacific Growth (SP) /03/ /03/2004 Aviva Capital Growth (SP) /03/ /03/2004 Aviva MM Capital Growth /03/ /03/2004 AXA Life-Value Growth /03/ /03/2004 Greatlink Enhancer /03/ /03/2004 Greatlink Far East Ex Japan Equities /03/ /03/2004 John Hancock Pacific Equity /03/ /03/2004 John Hancock Pacific Finance /03/ /03/2004 Manulife Golden Asia Growth /03/ /03/2004 Manulife Golden Southeas Asia Special Situations /03/ /03/2004 NTUC Takaful /03/ /03/2004 Premium Asia Growth (HSBC /03/2004 * /12/2003 Prulink Asian Equity /03/ /03/2004 UOB Lifelink Asia /03/ /03/2004 UOBLIFE FOF-United Asia /03/ /03/2004 Equity China HSBC China Growth /03/2004 * /01/2004 Equity China (Greater) 5

6 3-YEAR RISK PERFORMANCE ANALYSIS & LATEST FUND SIZE AND EXPENSE RATIO INFORMATION Singapore Insurance Linked Information Ann Sharpe Volatility Best Qtr Worst Qtr Max Gain/Loss Latest Fnd Sz Dt Expense Expense Ratio Ratio Return Return Loss Ratio Ratio Ratio Rsk Fr 2.50% Size (m) (S$) Date AIA Greater China Equity /03/2004 * /12/2003 John Hancock Greater China /03/ /03/2004 Manulife Golden Regional China /03/ /03/2004 UOBLIFE FOF-United Greater China /03/ /03/2004 Equity Euroland Aviva European Growth (SP) /03/ /03/2004 Equity Europe Greatlink European Equity /03/ /03/2004 John Hancock European Equity /03/ /03/2004 NTUC European Equity /03/ /03/2004 Prulink European Blue Chip /03/ /03/2004 UOBLIFE FOF-United European Equity /03/ /03/2004 Equity Europe Emerging Mkts Aviva EU Convergence Growth (SP) /03/ /03/2004 Equity Fix Term Asia Pacific ex Japan AIA Select Asia /03/2004 * /12/2003 Equity Fix Term Europe OAC Cap Protected Europe SGD /03/ /03/2004 Equity Fix Term Global AIA Select Feng Shou /03/2004 * /12/2003 AIA Select Fu Yu /03/2004 * /09/2003 AIA Select Opportunity /03/2004 * /12/2003 AIA Select Safety /03/2004 * /12/2003 Aviva S$ Capital Protected 2 May /03/ /03/2004 Aviva S$ Capital Protected 6 Jun /03/ /03/2004 Aviva US$ Capital Protected 2 May /03/ /03/2004 John Hancock Capital Preservation /03/ /03/2004 NTUC Dynamic Guaranteed /03/ /03/2004 OAC Cap Protected Global SGD /03/ /03/2004 Prulink Life Sciences Guaranteed II /03/ /03/2004 Equity Fix Term Japan Prulink Japan Equity Guaranteed /03/ /03/2004 Equity Fix Term North America Prulink Technology Guaranteed II /03/ /03/2004 Equity Global AIA Portfolio /03/2004 * /12/2003 Aviva Global Managed Equity (SP) /03/ /03/2004 AXA Inspire-Entrepreneur /03/ /03/2004 Global Diversified High Growth s (HSBC Insu /03/2004 * /12/2003 Global Dynamic All-Weather (HSBC Insuran /03/2004 * /12/2003 Global Leaders (HSBC /03/2004 * /12/2003 Global Strategic 50 (HSBC /03/2004 * /12/2003 Greatlink Global 100 Growth /03/ /03/2004 Greatlink Global Growth Trends Portfolio /03/ /03/2004 Greatlink Global Intersection /03/ /03/2004 Greatlink Global Value Equity /03/ /03/2004 Greatlink Lifestyle Dynamic Portfolio /03/ /03/2004 John Hancock Worldwide Equity /03/ /03/2004 Manulife Golden Worldwide Equity /03/ /03/2004 Manulife Lifestyle Aggressive Portfolio /03/ NTUC Global Equity /03/ /03/2004 OAC Retirewise Aggressive Strategy /03/2004 * /03/2003 Prulink Global Equity /03/ /03/2004 Takaful Global (HSBC /03/2004 * /12/2003 Takaful Sinaran (HSBC /03/2004 * /12/2003 UOB Life FOF- UOB Optimix Worldwide Equity Fu /03/ /03/2004 UOB Lifelink Global /03/ /03/2004 UOBLIFE FOF-International Growth /03/ /03/2004 Equity Global Emerging Mkts Aviva Emerging Countries Growth (SP) /03/ /03/2004 Equity Japan John Hancock Japan Growth /03/ /03/2004 NTUC Japanese Equity /03/ /03/2004 UOBLIFE FOF-United Japan Growth /03/ /03/2004 Equity Malaysia & Singapore Manulife Golden Singapore Growth /03/2004 # /03/2004 UOB Lifelink Growth /03/ /03/2004 UOBLIFE FOF-Unifund /03/ /03/2004 Equity Singapore AXA Life-Fortress /03/ /03/2004 AXA Life-Fortress A /03/ /03/2004 Greatlink Singapore Equities /03/ /03/2004 NTUC Income Singapore Equity /03/ /03/2004 UOBLIFE FOF-United Growth /03/ /03/2004 Fixed Income Europe AXA Life-Europe Preservation Growth Plus /03/ /03/2004 Fixed Income Global Aviva Global Managed Bond /03/ /03/2004 Aviva Shenton Dynamic Bond (SP) /03/ /03/2004 AXA Inspire-Guardian /03/ /03/2004 Global Diversified Conservative (HSBC Insur /03/2004 * /12/2003 Greatlink Global Bond /03/ /03/2004 John Hancock Worlwide Bond /03/ /03/2004 Manulife Golden International Bond /03/ /03/2004 NTUC Income Global Bond /03/ /03/2004 Prulink Global Bond /03/ /03/2004 UOB Life FOF- UOB Optimix Worldwide Bond Fun /03/ /03/2004 Fixed Income SGD AIA Regional Fixed Income /03/2004 * /12/2003 Greatlink Stable Bond /03/ /03/2004 6

7 3-YEAR RISK PERFORMANCE ANALYSIS & LATEST FUND SIZE AND EXPENSE RATIO INFORMATION Singapore Insurance Linked Information Ann Sharpe Volatility Best Qtr Worst Qtr Max Gain/Loss Latest Fnd Sz Dt Expense Expense Ratio Ratio Return Return Loss Ratio Ratio Ratio Rsk Fr 2.50% Size (m) (S$) Date Manulife Singapore Bond /03/ NTUC Singapore Bond /03/ /03/2004 Premium Lion Bond (HSBC /03/2004 * /12/2003 Floor s Global Prulink Protected Global Titans /03/ /03/2004 Money Market SGD Greatlink Cash /03/ /03/2004 John Hancock Singapore Cash /03/ /03/2004 Prulink Singapore Cash /03/ /03/2004 Sector - Biotechnology John Hancock Life Sciences /03/ /03/2004 Manulife Golden Life Sciences /03/2004 * /09/2003 Sector - Healthcare Global AIA International Healthcare /03/2004 * /12/2003 UOBLIFE FOF-United Global Healthcare /03/ /03/2004 Sector - TMT Global AIA Global Technology /03/2004 * /09/2003 Global Communication (HSBC /03/2004 * /12/2003 Greatlink Global Technology /03/ /03/2004 John Hancock Global Technology /03/ /03/2004 Manulife Golden Global Technology /03/2004 * /09/2003 NTUC Technology /03/ /03/2004 Prulink Global Technology /03/ /03/2004 * NOTE: These expense ratios are not up to end of March 04 but already represent the most up-to-date information submitted by the FMCs/Insurers. #NOTE: These expense ratios are from 11 Dec 03 to 3 Mar 04 only but already represent the most up-to-date information submitted by the FMCs/Insurers. - NOTE: The symbol "-" denotes instances where the required information is not available. 7

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