* MISo / Alpha / Matrix are not available for policy applications and cannot continue to be marketed to the public in Hong Kong.
|
|
- Janel Atkins
- 6 years ago
- Views:
Transcription
1 Date: July 20, 2017 Subject: Notification of Revision of Investment Choice with effect from July 24, 2017 Please note that the risk level of the following investment choices under Manulife Investment Plus (MI Plus), Manulife Investment Solutions* (MISo), Alpha Regular Investor (ARI), Alpha* and Matrix* will be revised with effect from July 24, 2017, following the regular review of the risk levels of the investment choices. * MISo / Alpha / Matrix are not available for policy applications and cannot continue to be marketed to the public in Hong Kong. MI Plus / MISo* Name of Investment Choice Investment Choice Previous Updated Manulife Inv Allianz Income and Growth Fund IAI Manulife Inv Allianz Income and Growth Fund (dist) GAI Manulife Inv Fidelity Global Multi Asset Income IMI Fund Manulife Inv Fidelity Global Multi Asset Income GAG Fund (dist) Manulife Inv JPMorgan Asia Pacific Income Fund GJX (dist) Manulife Inv JPMorgan Multi Income Fund IJM Manulife Inv JPMorgan Multi Income Fund (dist) GJM ARI / Alpha* / Matrix* Investment Choice Name of Investment Choice Previous Updated MIL Allianz Income and Growth Fund UAI MIL Fidelity Global Multi Asset Income Fund UMI MIL JPMorgan Asia Pacific Income Fund UJX MIL JPMorgan Multi Income Fund UJM You could refer to the Appendix Revision of Investment Choice for the list of the latest risk levels and changes of each investment choice under our investment-linked assurance schemes. Please note that the risk levels are for reference only. You should not rely on them as investment advice. Should you have any queries, please call (852) in relation to the investment choices under MI Plus and MISo*and (852) in relation to the investment choices under ARI, Alpha* and Matrix*. Issued by Manulife (International) Limited (Incorporated in Bermuda with limited liability) Manulife (International) Limited Incorporated in Bermuda with limited liability 22/F., Tower A, Manulife Financial Centre, Wai Yip Street, Kwun Tong, Kowloon, Hong Kong Tel: (852) Fax: (852)
2 Appendix "Revision of Investment Choice " Name of Investment Choice 1 Manulife Investment Plus / Manulife Investment Solutions* Manulife Inv Allianz Euroland Equity Growth Fund IAG No Manulife Inv Amundi Emerging Focus Fund IDD No Manulife Inv Amundi CPR Global Lifestyles Fund ILL No Manulife Inv Asia Pacific High Dividend Fund IPH No Manulife Inv Asian Small Cap Fund IAS No Manulife Inv Australia Equity Fund IAU No Manulife Inv Baring ASEAN Frontiers Fund IBA No Manulife Inv Baring Europe Select Fund IBE No Manulife Inv BlackRock Global SmallCap Fund IBS No Manulife Inv China A Fund IQA No Manulife Inv China Value Fund ICV No Manulife Inv Citi China Select Fund ICC No Manulife Inv Emerging Eastern Europe Fund IEM No Manulife Inv European Equity Fund IEE No Manulife Inv Fidelity China Consumer Fund IFC No Manulife Inv Fidelity European Dynamic Growth Fund IED No Manulife Inv Fidelity International Fund IFI No Manulife Inv Franklin U.S. Opportunities Fund IFU No Manulife Inv Global Contrarian Fund ICN No Manulife Inv Global Equity Fund IIE No Manulife Inv Global Property Fund IGP No Manulife Inv Global Resources Fund IRF No Manulife Inv Greater China Opportunities Fund IGO No Manulife Inv Healthcare Fund IHC No Manulife Inv Henderson Global Technology Fund IHT No Manulife Inv Henderson Japanese Smaller Companies Fund IHS No Manulife Inv Hong Kong Equity Fund IHE No Manulife Inv India Equity Fund IEQ No Manulife Inv Invesco Asian Equity Fund IIA No Manulife Inv Invesco Japanese Equity Core Fund IIJ No Manulife Inv Investec Global Energy Fund IGE No Manulife Inv Investec Global Gold Fund IGG No Manulife Inv Investec Global Natural Resources Fund IDR No Manulife Inv Japan Equity Fund IJE No Manulife Inv JPMorgan ASEAN Fund IJA No Manulife Inv JPMorgan Emerging Markets Opportunities Fund IJO No Manulife Inv JPMorgan Korea Fund IMK No Manulife Inv Korean Equity Fund IKE No Manulife Inv Latin America Equity Fund ILA No Manulife Inv Macquarie IPO China Gateway Fund IMA No Manulife Inv Middle East and North Africa Equity Fund IMN No Manulife Inv North American Equity Fund INA No Manulife Inv Pacific Asia Equity Fund IPA No Manulife Inv Russia Equity Fund IRE No Manulife Inv Schroder Asia Pacific Cities Real Estate Fund IAP No Manulife Inv Schroder Emerging Markets Fund ISM No Manulife Inv Schroder Hong Kong Equity Fund ISE No Manulife Inv Taiwan Equity Fund ITW No Manulife Inv Templeton Frontier Markets Fund IFM No Manulife Inv Thailand Equity Fund ITE No Manulife Inv Turkey Equity Fund ITF No Manulife Inv UBS Asian Consumption Fund IUE No Manulife Inv UBS China Opportunity Fund IOE No
3 2 Manulife Inv US Small Cap Fund IUS No Manulife Inv Zeal Voyage China Fund IVY No Manulife Inv Asia Total Return Fund ITR No Manulife Inv Asia Total Return Fund (dist) GAR No Manulife Inv BlackRock Global Corporate Bond Fund IBG No Manulife Inv China Bond Fund IRM No Manulife Inv Fidelity Asian High Yield Fund IHY No Manulife Inv Global Emerging Markets Debt Fund IMD No Manulife Inv Global Strategic Income Fund ISI No Manulife Inv International Bond Fund IIB No Manulife Inv Invesco Global High Income Fund IGI No Manulife Inv Jupiter Global Convertibles Fund IJC No Manulife Inv PARVEST Bond Asia ex Japan Fund IPB No Manulife Inv Schroder Hong Kong Dollar Bond Fund ISB No Manulife Inv Templeton Global Total Return Fund ITG No Manulife Inv Templeton Global Total Return Fund (dist) GTG No Manulife Inv U.S. Bond Fund IUB No Manulife Inv U.S. Special Opportunities Fund ISU No Manulife Inv U.S. Treasury Inflation-Protected Securities Fund IUT No Manulife Inv UBS Euro High Yield Bond Fund IEY No Manulife Inv All-weather Capital Conservative Fund (dist) ICP No Manulife Inv All-weather Growth Fund (dist) IGW No Manulife Inv All-weather Growth Plus Fund (dist) IGU No Manulife Inv All-weather Managed Growth Fund (dist) IMG No Manulife Inv Allianz Asian Multi Income Plus Fund IAA No Manulife Inv Allianz Income and Growth Fund IAI Manulife Inv Allianz Income and Growth Fund (dist) GAI Manulife Inv Asia Pacific Income and Growth Fund IGS No Manulife Inv BlackRock Global Allocation Fund IGA No Manulife Inv Fidelity Global Multi Asset Income Fund IMI Manulife Inv Fidelity Global Multi Asset Income Fund (dist) GAG Manulife Inv Global Dynamic Asset Allocation Fund (dist) IDA No Manulife Inv Invesco Asia Balanced Fund IAB No Manulife Inv JPMorgan Asia Pacific Income Fund (dist) GJX Manulife Inv JPMorgan China Income Fund (dist) GJP No Manulife Inv JPMorgan Multi Income Fund IJM Manulife Inv JPMorgan Multi Income Fund (dist) GJM Manulife Inv Schroder Emerging Multi-Asset Income Fund (dist) GSA No Manulife Inv Schroder Global Multi-Asset Income Fund IGM No Manulife Inv Amundi Cash Fund ICA No Manulife Inv Aggressive Portfolio IAF No Manulife Inv Balanced Portfolio IBP No Manulife Inv Growth Portfolio IGR No Manulife Inv Stable Portfolio ISF No Manulife Secure IncomePus * MSIP Aggressive Portfolio SAP No MSIP Balanced Portfolio SBP No MSIP Growth Portfolio SGP No Strategic Portfolio SSP No Alpha Regular Investor / Alpha* / Matrix* MIL Allianz Euroland Equity Growth Fund UAG No MIL Amundi Emerging Focus Fund UDD No MIL Amundi CPR Global Lifestyles Fund ULL No MIL Asia Pacific Fund UAS No MIL Asia Value Dividend Equity Fund UDE No MIL Asian Small Cap Fund UAC No
4 3 MIL Australia Fund UAU No MIL Baring ASEAN Frontiers Fund UBA No MIL Baring Europe Select Fund UBE No MIL BlackRock Global SmallCap Fund UBS No MIL China Fund UCV No MIL Citi China Select Fund UCC No MIL Eastern European Fund UEF No MIL European Fund UEU No MIL Fidelity China Consumer Fund UFC No MIL Fidelity European Dynamic Growth Fund UED No MIL Fidelity International Fund UFI No MIL Franklin U.S. Opportunities Fund UFU No MIL Global Contrarian Fund UCN No MIL Global Equity Fund UIG No MIL Global Property Fund UGP No MIL Global Resources Fund URE No MIL Greater China Opportunities Fund UGO No MIL Healthcare Fund UHC No MIL Henderson Global Technology Fund UHT No MIL Henderson Japanese Smaller Companies Fund UHS No MIL Hong Kong Fund UHF No MIL India Fund UIF No MIL Invesco Asian Equity Fund UIA No MIL Invesco Japanese Equity Core Fund UIJ No MIL Investec Global Energy Fund UGE No MIL Investec Global Gold Fund UGG No MIL Investec Global Natural Resources Fund UDR No MIL Japan Fund UJF No MIL JPMorgan ASEAN Fund UJA No MIL JPMorgan Korea Fund UMK No MIL JPMorgan Emerging Markets Opportunities Fund UJO No MIL Korea Fund UKF No MIL Latin America Fund ULA No MIL Macquarie IPO China Gateway Fund UMA No MIL Middle East and North Africa Fund UMN No MIL North American Fund UNF No MIL Russia Fund URF No MIL Schroder Asia Pacific Cities Real Estate Fund UAP No MIL Schroder Emerging Markets Fund USM No MIL Schroder Hong Kong Equity Fund USE No MIL Taiwan Fund UTW No MIL Templeton Frontier Markets Fund UFM No MIL Thailand Fund UTF No MIL Turkey Fund UTK No MIL UBS Asian Consumption Fund UUE No MIL UBS China Opportunity Fund UOE No MIL US Small Cap Fund UUC No MIL Zeal Voyage China Fund UVY No MIL Asia Total Return Fund UTR No MIL BlackRock Global Corporate Bond Fund UBG No MIL Fidelity Asian High Yield Fund UHY No MIL Global Emerging Markets Debt Fund UMD No MIL Global Strategic Income Fund USI No MIL International Bond Fund UIB No MIL Invesco Global High Income Fund UGI No MIL Jupiter Global Convertibles Fund UJC No
5 4 MIL PARVEST Bond Asia ex Japan Fund UPB No MIL Schroder Hong Kong Dollar Bond Fund USB No MIL Templeton Global Total Return Fund UTG No MIL U.S. Bond Fund UUB No MIL U.S. Special Opportunities Fund USU No MIL UBS Euro High Yield Bond Fund UEY No MIL All-weather Capital Conservative Fund UCP No MIL All-weather Growth Fund UGW No MIL All-weather Growth Plus Fund UGU No MIL All-weather Managed Growth Fund UMG No MIL Allianz Asian Multi Income Plus Fund UAA No MIL Allianz Income and Growth Fund UAI MIL Asia Pacific Income and Growth Fund UGS No MIL BlackRock Global Allocation Fund UGA No MIL Fidelity Global Multi Asset Income Fund UMI MIL Global Dynamic Asset Allocation Fund UDA No MIL Invesco Asia Balanced Fund UAB No MIL JPMorgan Asia Pacific Income Fund UJX MIL JPMorgan China Income Fund UJP No MIL JPMorgan Multi Income Fund UJM MIL Schroder Emerging Multi-Asset Income Fund USA No MIL Schroder Global Multi-Asset Income Fund UGM No MIL Amundi Cash Fund UCA No MIL Achiever Fund UAF No MIL Global Fund UGF No MIL Growth Fund UGR No MIL Stable Fund USF No ManuSelect Investment Protector* ManuSelect Asia Pacific Fund MAS No ManuSelect Asian Small Cap Fund MAC No ManuSelect Australia Fund MAU No ManuSelect China Fund MCF No ManuSelect Eastern European Fund MEF No ManuSelect European Fund MEU No ManuSelect Global Resources Fund MRE No ManuSelect Healthcare Fund MHC No ManuSelect Hong Kong Fund MHF No ManuSelect India Fund MIF No ManuSelect Japan Fund MJF No ManuSelect Korea Fund MKF No ManuSelect Latin America Fund MLA No ManuSelect North American Fund MNF No ManuSelect Russia Fund MRF No ManuSelect Schroder Asia Pacific Cities Real Estate Fund MAP No ManuSelect Thailand Fund MTF No ManuSelect Turkey Fund MTK No ManuSelect US Small Cap Fund MUC No ManuSelect International Bond Fund MIB No Cash Fund MCA No ManuSelect Achiever Fund MAF No ManuSelect Balanced Fund MBF No ManuSelect Global Fund MGF No ManuSelect Growth Fund MGR No ManuSelect Stable Fund MSF No Flexible Investment Protector* China Value Fund CV No
6 Emerging Eastern European Fund EE No European Growth Fund EU No Dragon Growth Fund HK No India Equity Fund IF No International Bond Fund (Series II) IB No Global Equity Fund IN No Japanese Growth Fund JA No Korea Equity Fund KF No American Growth Fund NA No Asian Equity Fund PA No Thailand Equity Fund TF No Cash Fund CA No Deposit Fund (Series I) IGF No VIP+ */ MANUGIFT* Investment Fund (Series II) UDF No Deposit Fund (Series I) IGF No Deposit Fund (Series II) SDF No Skyline Manulife Global Fund - Dragon Growth Fund - Class AA (HKD) CSA No Allianz Global Investors Fund - Allianz Hong Kong Equity CSB No BOCHK China Equity Fund CSG No Macquarie IPO China Gateway Fund - Class A3 CSE No Schroder International Selection Fund - Hong Kong Equity CSC No ZEAL Voyage China Fund CSF No BOCHK Hong Kong Dollar Income Fund CSH No Schroder International Selection Fund - Hong Kong Dollar Bond CSD No * This plan is not available for policy applications and cannot continue to be marketed to the public in Hong Kong. # : 1 - Low; 2 - Low to Medium; 3 - Medium; 4 - Medium to High; 5 - High. Note:The above risk levels are for reference only. You should not rely on them as investment advice. Investment choice prices may go down as well as up. Past performance information presented are not indicative of future performance. Issued by Manulife (International) Limited (Incorporated in Bermuda with limited liability). 5
7 Description of the Manulife Risk Meter The risk level is represented by the Manulife Risk Meter, a 5-level risk continuum from 1 to 5, which signifies the risk profile of the investment choice. The more sensitive an investment choice is to the change of market conditions, the more volatile it is and therefore the higher its risk level is indicated by the Manulife Risk Meter. Likewise, an investment choice less sensitive to market condition changes has lower volatility and is therefore regarded as bearing lower risk on the Manulife Risk Meter. Each risk level reflects the corresponding risk profile as follows: Risk Meter Low Low 1 Low to Medium Medium Medium to High High 5 High Remarks: The 5 risk levels in the Manulife Risk Meter are determined on the basis of a number of factors relating to the underlying investments of investment choices, including the types of asset classes and their respective target weightings, the breadth and geography of diversification, the historical volatility and capitalisation of the relevant markets, investment strategy and the presence of any guaranteed investment returns. Please note that the volatility and the risk level of an investment choice may change over time and the future market volatility may not follow the historical volatility. The composition of the underlying investments of each investment choice may be different from that of the referenced market index. The Manulife Risk Meter and the risk level of each investment choice will be reviewed semi-annually. While an investment choice of a higher risk level may be more volatile, the lowest risk level does not mean risk-free. The 5-level risk categorization is provided by Manulife Asset Management (Hong Kong) Limited. Information in this description of the Manulife Risk Meter and the risk level of each investment choice are for reference only and should not be regarded as investment advice on, an offer to sell, or a solicitation for an offer to purchase any financial products and services. Neither should such information be regarded as a substitute for professional advice. The risk levels of the investment choices provided in this publication may be different from the risk ratings provided by the bank(s) or broker(s). Please refer to the relevant risk ratings provided by the bank(s) or broker(s) through which you take out the investment-linked assurance scheme(s). Investment involves risks. Investment choice prices may go down as well as up. Past performance figures shown are not indicative of future performance. Please refer to the offering document for further details including the risk factors, charges and features of the Plan. Issued by Manulife (International) Limited. 6
Investment Choice Table
T6 (/0/08) of Investment Choice Table (Alpha /Alpha Regular Investor / Matrix / ManuSelect Investment Protector / Flexible Investment Protector / VIP+ / Manugift) This table is for reference only and does
More information* MISo is not available for policy applications and cannot continue to be marketed to the public in Hong Kong.
Date: February 15, 2016 Subject: Notification of Revision of Investment Choice with effect from February 15, 2016 Please note that the risk level of the following investment choices under Manulife Investment
More informationOCBC WING HANG BANK LIMITED
1 ALLIANZ ASIAN MULTI INCOME PLUS MEDIUM 2 ALLIANZ CHINA EQUITY MEDIUM TO HIGH 3 ALLIANZ EMERGING ASIA EQUITY MEDIUM TO HIGH 4 ALLIANZ EUROPE EQUITY GROWTH SELECT MEDIUM TO HIGH 5 ALLIANZ EUROPEAN EQUITY
More informationSunAchiever / FORTUNE Builder / SunWealth
The following investment-linked funds are offered under the investment-linked assurance scheme ("ILAS policy") issued by Sun Life Hong Kong Limited ("the Company"). Your investments will be subject to
More information2015 December Fund Performance at a Glance
IMPORTANT RISK WARNINGS Investment involves risks (including the possibility of loss of the capital invested). Prices of units may rise as well as fall and past performance information presented is not
More informationInvestment-linked Fund Performance Leaflet
Investment bulletin Investment-linked Fund Performance Leaflet October 2018 Investment-linked fund performance as at 0 September 2018. This document is issued by Limited ( ) and to be used in Hong Kong
More informationCUMULATIVE. 3 Months. 6 Months
Base November 20 All percentage growth calculated to /0/ Year Years 5 Years 20 202 20 200 2009 Managed Solutions available in different risk profiles, providing a high level of diversification across multiple
More informationInvestment-linked Fund Prices July 2015
Investment-linked Fund Prices July 2015 Investment-linked fund prices as at the last price available on 30 June 2015. This document is issued by Friends Provident International Limited ( Friends Provident
More informationold mutual international IM
All currencies (,,, ) All percentage growth calculated to 0/0/207 Performance % over one year to end June 207 June 207 Year Years 5 Years 20 205 204 20 202 AMC SFC Managed Solutions available in different
More informationold mutual international IM
All currencies (,,, ) All percentage growth calculated to /08/207 Performance % over one year to end August 207 August 207 Year Years 5 Years 20 205 204 20 202 AMC SFC Managed Solutions available in different
More informationChange of Name and Investment Objective and Policy of the Underlying Fund(s)
June 19, 2017 The notice contains important information that requires your immediate attention. Should you have any query about this notice, please seek independent professional advice. To Policyowners
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to /8/208 Performance % over one year to end August 208 AUGUST 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to /5/208 Performance % over one year to end May 208 MAY 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to 0/4/208 Performance % over one year to end April 208 APRIL 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to //208 Performance % over one year to end March 208 MARCH 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to //208 Performance % over one year to end January 208 JANUARY 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different
More informationOLD MUTUAL INTERNATIONAL IM
ALL CURRENCIES (,,, ) All percentage growth calculated to 28/2/208 Performance % over one year to end February 208 FEBRUARY 208 Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available
More informationfund prices Isle of Man funds June 2016
fund prices Isle of Man funds June 2016 Fund s as at the last price available on 31 May 2016. Access to these funds is only available through the Isle of Man product range. This leaflet is for information
More informationAUGUST Emerging Markets. Pacific ex Japan. Global Property. UK Property BRIC
INDICATOR HOW TO USE INDICATOR The indicator provides investors with a 2-month stock market outlook from a selection of fund groups linked to Old Mutual International. We provided the fund groups with
More informationOLD MUTUAL INTERNATIONAL IM
s s Year Years 5 Years 208 207 20 205 204 AMC SFC Managed Solutions available in different risk profiles, providing a high level of diversification across multiple asset classes 98570 4 Compass Portfolio
More informationfund range For financial advisers only November 2015
Flexible Investment Account fund range November 2015 For financial advisers only This document was last reviewed in November 2015. Please confirm with your financial adviser that this is the most up-to-date
More informationGlobal mirror fund guide
Investment choices Global mirror fund guide Singapore April 2018 Friends Provident International Limited Singapore Branch (Friends Provident International) has prepared this guide to help you choose the
More informationIntroducing Fund Manager Rebates
www.davyselect.ie SELECT Introducing Fund Manager s (Excluding Exchange Traded Funds) 26TH APRIL 2017 In the case of all pension and certain trading accounts, Davy will refund to you 100 of any rebates
More informationAnnual Fund Options Fund Code Management Charge Fund Type Page!!!"!
Fund Information=! NEW! NEW! NEW! NEW! Fund Information! April AGS/FC/04/08 2008 2008 Q Aviva offers a wide range of funds that are customised for your individual investment needs. Whichever you choose
More informationAnnual Charges. Annual Charges - Underlying Funds. May 2011
Annual Charges May 2011 Annual Charges - Underlying Funds This document is to be used in Hong Kong only and should be issued and read in conjunction with the Principal Brochure, which consists of the Annual
More informationIMPORTANT RISK WARNINGS
IMPORTANT RISK WARNINGS Investment involves risks (including the possibility of loss of capital invested). Prices of units may rise as well as fall. Investors should read the relevant fund s offering documents
More informationStart of Data. 3 Months % 6 Months %
Source - Financial Express. Performance is cumulative percentage growth, except for p.a. & p.a. figures which are annualised growth. Figures are on a gross return, bid to bid basis and in the fund currency.
More informationInvestment-linked Funds
Investment-linked Funds May 2011 This document is to be used in Hong Kong only and should be issued and read in conjunction with the Principal Brochure, which consists of the Annual Charges leaflet, Investment-linked
More informationPreference. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the fund range. The data used to arrive at the figures shown is provided by Morningstar.
More informationPreference. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Preference fund range. The data used to arrive at the figures shown is provided
More informationSharpe Ratio Information Ratio. Annualized Standard. Max Gain. Deviation
Performance Evaluation Report for Unit Trusts Included Under the CPFIS as of March 2012 3-Year Risk Performance Analysis and Latest Fund Size and Expense Fund Name Sharpe Bond Asia Pacific Schroder Asian
More informationStart of Data. 1 Mth % 3 Mth %
Source - Financial Express. Performance is cumulative percentage growth, except for 5 Year p.a. & p.a. figures which are annualised growth. Figures are on a bid to bid, gross total return basis (i.e. all
More informationSummary Information for Investment Choices
Summary Information for Investment Choices Investment-linked Insurance Effective date: 31 May 2016 Addendum No. 1 to Summary Information for Investment Choices This Addendum No. 1 to Summary Information
More informationAviva Fund Performance
Aviva Performance As at 31 Ma 2018 E033 E082 E174 E035 E034 E084 Name BlackRock Global s New Energ A2 DWS Global Agribusiness LC JPMorgan s Global Natural Resources A Acc BlackRock Global s World Mining
More informationPreference. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the Preference fund range. The data used to arrive at the figures shown is provided
More informationFirst addendum to the Old Mutual International Investment Choices for the Wealth Management Plan
Ref WMPADD01/2016 First addendum to the Old Mutual International Investment Choices for the Wealth Management Plan This addendum should be read and issued in conjunction with the principal brochure (comprising
More informationInternational FUND SELECTION UNIT-LINKED PRODUCTS JANUARY 2018
International FUND SELECTION UNIT-LINKED PRODUCTS JANUARY 2018 INTERNATIONAL FUND SELECTION FROM GENERALI PANEUROPE Before you invest The client is responsible for the choice of Funds and any choice of
More informationAviva Fund Performance
Aviva Performance As at 30 September 2017 E033 E077 E082 E035 E174 E034 E084 E177 E043 E039 E017 E010 E026 E121 E120 Name BlackRock Global s New Energ A2 Parvest Equit World Materials ic Cap DWS Global
More informationQuantum Fund List Performance as at 28 February 2011 (for policies taken out after 6 April 2010)
Commodity & Energy BGF World Energy EUR LU0171301533 06/04/01 14.24 33.80 31.88 5.92 17.42-3.26 6.64 24.61 BGF World Energy USD LU0122376428 06/04/01 21.37 45.44 34.27-3.54 36.72-6.46 11.43 28.36 BGF World
More informationSINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS June 30, 2017
SINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS June 30, 2017 Total Net Fund Flows Remained Positive for Q2 2017, but Equity Funds Experienced a Sixth Consecutive Quarter of Net Outflows Unit trusts
More informationSINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS DECEMBER 31, 2017
SINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS DECEMBER 31, 2017 Total Net Fund Flows for Q4 2017 Still Positive, Bond Funds Experience a Seventh Consecutive Quarter of Net Inflows Unit trusts registered
More informationSterling Investment Bond Fund Specific projection rates Series 1
Sterling Investment Bond Fund Specific projection rates Series 1 This document lists the funds available through the Sterling Investment Bond and the fund specific projection rates used in our illustrations.
More informationLIST OF MUTUAL FUNDS Version March 2018
Fund Name ISIN Fund House Currency Share Class AB FCP I American Income Portfolio AB FCP I European Income Portfolio Income / Accumulation Dividend Frequency Asset Class LU0511406216 AllianceBernstein
More informationMonthly Bulletin May J.P. Morgan Luxembourg based fund ranges
Monthly Bulletin May 2018 J.P. Morgan Luxembourg based fund ranges Performance summary for Equity Fund Range EQUITY US A (dist) - USD 2.1-5.3 14.9 33.1 79.9 14.6 15.7-1.0 8.2 25.2 JPM America Equity A
More informationLIST OF MUTUAL FUNDS Version May 2018
Fund Name ISIN Fund House Currency Share Class Distribution Type Dividend Frequency Asset Class LU0511406216 AllianceBernstein AUD AT AUD H Income Monthly Fixed Income LU0592505407 AllianceBernstein CAD
More informationSINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS September 30, 2016
SINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS Total Net Fund Flows Turn Positive for Q3 2016; Bond Funds Gain the Biggest Net Inflows Unit trusts registered for sale in Singapore reported net inflows
More informationLIPPER FUND AWARDS 2015 UK WINNER LIST
LIPPER FUND AWARDS 2015 UK WINNER LIST GROUP AWARD SIZE COMPANY Bond Large Legal & General Bond Small T Rowe Price Equity Large Robeco Equity Small River and Mercantile Mixed Assets Large Legg Mason Mixed
More informationSINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS June 30, 2016
SINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS Total Net Fund Flows Continues to be Negative for Q2 2016; Equity Funds Suffer the Biggest Net Outflows Unit trusts registered for sale in Singapore reported
More informationSINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS December 31, 2016
SINGAPORE FUND FLOWS SUMMARY QUARTER-END ANALYSIS Total Net Fund Flows Turn Negative for Q4 2016; Bond Funds Continue to Gain the Biggest Net Inflows Unit trusts registered for sale in Singapore reported
More informationInternational Fund Performance
International Fund Performance As our client, you have the opportunity to access an extensive range of top quality funds, hand-picked to maximise your investment opportunities. Most offer exciting potential
More informationProsper. Fund Performance Booklet. Performance Data. Risk Rating
Performance Data This booklet contains a number of different performance measures and time periods to help you assess the fund range. The data used to arrive at the figures shown is provided by Morningstar.
More informationFirst addendum to the details of the Royal Skandia investment-linked funds brochure
Ref ADD01/2013 First addendum to the details of the Royal Skandia investment-linked funds brochure This addendum should be read and issued in conjunction with the principal brochure (comprising the product
More informationLegal & General (PMC) All Stocks Gilts Index Fund UK Gilts 0.20% 0.00%
PORTFOLIO PLUS FUND DETAILS This document shows the fund management charge, Association of British Insurers (ABI) sectors and spreads for the funds available on the Portfolio Plus SIPP and Portfolio Plus
More informationQuantum Fund List Performance as at 31 March 2010
Launch 3 Months 6 Months 1 Year 5 Year 10 Year 5 Year Standard Commodity & Energy BGF World Energy EUR 06/04/01 6.43 16.48 40.52-1.52 37.32-6.55 26.09 LU0171301533 BGF World Energy USD 06/04/01 0.13 7.84
More informationmandatory provident fund
mandatory provident fund Principal MPF product brochure Exclusive Distributor IMPORTANT INFORMATION 1. The Principal Guaranteed Fund in Principal MPF Smart Plan (the Smart Plan ) invests solely in a single
More informationMAY 12 FUND PERFORMANCE. International.
MAY 12 International FUND PERFORMANCE www.generali-gi.com International Fund Performance As our client, you have the opportunity to access an extensive range of top quality funds, hand-picked to maximise
More informationLIPPER FUND AWARDS UNITED KINGDOM WINNER LIST Wednesday, 12 March 2014
LIPPER FUND AWARDS 2014 UNITED KINGDOM WINNER LIST Wednesday, 12 March 2014 GROUP AWARD SIZE BEST GROUP COMPANY Bond Large 3 Years AXA Bond Small 3 Years Marlborough Equity Large 3 Years Cazenove Equity
More informationInvestment Products Authorised!"#
94 Bulletin Board - Investment Products Authorised Investment Products Authorised!"# Name of Funds Authorised!"# Authorisation Date! Mellon Global Funds plc!"#$% 4-Oct-01 Mellon Asian Equity Portfolio!"#$%&'
More informationMIM SUMMARY OF FUND PERFORMANCE
09/04/2015 08/04/2015 FOR FINANCIAL ADVISERS ONLY MIM SUMMARY OF FUND PERFORMANCE This document was not produced by Old Mutual International. This document was produced by an external user on 09 April
More informationINVESTMENT BOND. This fund list details the funds available through the Phoenix Wealth Investment Bond. FUND LIST
INVESTMENT BOND FUND LIST APRIL 2018 This fund list details the funds available through the Phoenix Wealth Investment Bond. About this fund list There are three main fund ranges within our offering, denoted
More informationMANULIFE GLOBAL FUND PRODUCT KEY FACTS
MANULIFE GLOBAL FUND PRODUCT KEY FACTS April 2016 CONTENTS EQUITY FUNDS: Manulife Global Fund - American Growth Fund... 2 Manulife Global Fund - Asia Value Dividend Equity Fund... 7 Manulife Global Fund
More informationfund news fund launches fund closures other events fund objective chan e new objective old objective JPMF Europe Balanced JPMF Balanced
fund news fund launches Gartmore Continental European Gartmore Emerging Markets Gartmore European Smaller Companies Dit Bondspezial Dit Euro Bond Total Return Skandia Skandia Skandia Fund Royal Royal Royal
More informationGenerali Worldwide Investment Options Brochure. Investment-Linked Assurance Schemes: Vision, Choice and Select July 2018 Hong Kong
Generali Worldwide Investment Options Brochure Investment-Linked Assurance Schemes: Vision, Choice and Select July 2018 Hong Kong 2 of 22 Generali Worldwide Insurance Company Limited Investment Options
More informationOMGB SUMMARY OF FUND PERFORMANCE
Old Mutual International Fund Statistics Template - Page 1 of 7 04/11/2015 03/11/2015 FOR FINANCIAL ADVISERS ONLY Life Contracts issued by Old Mutual Guernsey OMGB SUMMARY OF FUND PERFORMANCE This document
More informationOur Packaged Fund Range
For customers Our Packaged Fund Range Our Packaged Fund Range allows you choice when building your portfolio with your adviser, while still offering the comfort of full governance. The charges listed below
More informationAcademy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets.
Quarter 2 2018 For Professional Clients Only Academy of Funds Analytics Report Click below to view our latest Talking Withs Talking Factsheets @SquareMileICR info@squaremileresearch.com squaremileresearch.com
More informationGenerali Worldwide Investment Options Brochure. Investment-Linked Assurance Schemes: Vision, Choice and Select November 2017 Hong Kong
Generali Worldwide Investment Options Brochure Investment-Linked Assurance Schemes: Vision, Choice and Select November 2017 Hong Kong 2 of 22 Generali Worldwide Insurance Company Limited Investment Options
More informationZurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan)
Company sponsored personal pension plans Zurich Flexible Personal Pension (Section 61 plan) Zurich Personal Pension (89 plan) Funds Guide To offer the best value for our customers, we use our global buying
More informationFund Background Range and Information
Fund Background Range and Information November 2017 generali-worldwide.com INDEX GUARANTEED RETURN FUNDS... 4 US DOLLAR DEPOSIT ADMINISTRATION... 5 EURO DEPOSIT ADMINISTRATION... 6 STERLING DEPOSIT ADMINISTRATION...
More informationSINGAPORE FUND FLOWS SUMMARY QUARTER END ANALYSIS September 30, 2013
SINGAPORE FUND FLOWS SUMMARY QUARTER END ANALYSIS Net Inflow of Funds Into Unit Trusts Continued Decreasing, Bond Funds Lost The Throne And Turned To Suffer Net Outflows in 3Q2013. Unit trusts registered
More informationSINGAPORE FUND FLOWS SUMMARY QUARTER END ANALYSIS December 31, 2014
SINGAPORE FUND FLOWS SUMMARY QUARTER END ANALYSIS Total Net Fund Inflow Slid, Bond Funds Encountered A Significant Net Outflow In 4Q2014 Unit trusts registered for sale in Singapore, in aggregate, registered
More informationPension Investments. All available through our Flexible Transitions Account July 2017 edition. From the LV= Investment Value range
For financial adviser use only. Not to be used with customers. Pension s All available through our Flexible Transitions Account July 2017 edition From the LV= Value range Asia Pacific excluding Japan Equities
More informationRETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES
RETIREMENT ACCOUNT SCOTTISH WIDOWS PENSION FUND CHARGES SCOTTISH WIDOWS PENSION FUNDS FUND CHOICE AND FUND CHARGES Scottish Widows Funds, managed by a subsidiary of Aberdeen Standard s Scottish Widows
More informationSterling Investment Bond. Investment funds guide
Sterling Investment Bond Investment funds guide 1 Contents Introduction 2 List of current investment funds by sector 4 Investment choice and flexibility 10 Fund risks 11 Managed funds 12 Multi-Managed
More informationQuantum. Investment Guide. March 2013
Quantum Investment Guide March 2013 Contents 02 Investment choice for your Quantum 02 and return 03 Fund risk s 04 Managed funds 04 A world of investment choice 05 Fund range overview 13 Fund objectives
More informationFor Manulife Personal Account Be better prepared for your retirement.
For Manulife Global Select (MPF) Scheme Important to note: You should consider your own risk tolerance level and financial circumstances before making any investment choices. When, in your selection of
More informationAcademy of Funds. Analytics Report. Click below to view our latest. Quarter Talking Withs. Talking Factsheets.
Quarter 3 2018 For Professional Clients Only Academy of Funds Analytics Report Click below to view our latest Talking Withs Talking Factsheets @SquareMileICR info@squaremileresearch.com squaremileresearch.com
More informationRETIREMENT ACCOUNT WEALTH MANAGEMENT. Scottish Widows Pension Fund Charges
RETIREMENT ACCOUNT WEALTH MANAGEMENT Scottish Widows Pension Fund Charges SCOTTISH WIDOWS PENSION FUNDS FUND CHOICE AND FUND CHARGES Scottish Widows Funds, managed by a subsidiary of Aberdeen Standard
More informationPrivileged Rates Program
For Manulife Global Select (MPF) Scheme Important to note: You should consider your own risk tolerance level and financial circumstances before making any investment choices. When, in your selection of
More informationFUND CHOICE AND FUND CHARGES
FUND CHOICE AND FUND CHARGES PENSIONS Pension products which have a standard Annual Management Charge of 1% for most of our funds (please see note 9). (Stakeholder Pension charges are not included in this
More informationAXA Insurance Pte Ltd Company Reg No M 8 Shenton Way, #24-01, AXA Tower Singapore /2018
AXA Insurance Pte Ltd Company Reg No. 199903512M 8 Shenton Way, #24-01, AXA Tower Singapore 068811 03/2018 Thank you for investing with AXA We are pleased to present to you the Annual Report of AXA Pulsar,
More informationLegal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.05% 0.17% 0.06%
SELECT PORTFOLIO BOND (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio
More informationLegal & General All Stocks Gilt Index Fund LS5 UK Gilts 0.12% 0.04% 0.16% 0.05%
SELECT PORTFOLIO bond (WEALTH MANAGERS) FUND DETAILS This document shows the fund charges, Association of British Insurers (ABI) sectors and valuation spreads for the funds available on our Select Portfolio
More informationSEPTEMBER 13 FUND PERFORMANCE. International.
SEPTEMBER 13 International FUND PERFORMANCE www.generali-intl.com International Fund Performance As our client, you have the opportunity to access an extensive range of top quality funds, hand-picked to
More informationStart of Data. 1 Mth % 3 Mth %
Source - Financial Express. Performance is cumulative percentage growth, except for 5 Year p.a. & p.a. figures which are annualised growth. Figures are on a bid to bid, gross total return basis (i.e. all
More informationFUND CHOICE AND FUND CHARGES
FUND CHOICE AND FUND CHARGES PENSIONS Pension products which have a standard Annual Management Charge of 1% for most of our funds (please see note 9). (Stakeholder Pension charges are not included in this
More informationFund volatility and performance
Fund volatility and performance Our funds This guide provides you with details of the past performance and volatility figures for our fund range. These can be used to help you understand the investment
More informationWorld Stockmarket Forecasts
Information and Advice on World Stockmarkets from Securities Research Company's... Inte ternational Investor Issue No. 210 www.stockmarket.co.nz June 10, 2013 JPMorgan Smaller European Smaller Companies
More informationPension Investments (Series 2 & 3)
For financial adviser use only. Not to be used with customers. Pension s (Series 2 & 3) All available through our Flexible Transitions Account July 2018 edition From the LV= Value range Asia Pacific excluding
More informationProduct Key Facts BlackRock Global Funds
Product Key Facts BlackRock Global Funds DECEMBER 2017 Contents Pages ASEAN Leaders Fund 3 Asia Pacific Equity Income Fund 7 Asian Dragon Fund 13 Asian Growth Leaders Fund 18 Asian Tiger Bond Fund 22 China
More informationOur Thoughts on the Mainland-Hong Kong Mutual Recognition of Funds
Our Thoughts on the Mainland-Hong Kong Mutual Recognition of Funds Morningstar Analysts The China Securities Regulatory Commission (CSRC) and Hong Kong s Securities and Futures Commission (SFC) launched
More informationUNIT LINKED FUNDS (Elite Life Plan) - Net Asset Value as on 16/05/2017
UNIT LINKED FUNDS (Elite Life Plan) - Net Asset Value as on 16/05/2017 FUND ID ISIN FUND NAMES Fund Category: EQUITY - AGGRESSIVE FUND_A19 LU0011963245 Aberdeen Global Asia Pacific 75.3099 FUND_A21 LU0219441572
More informationSemi-annual funds report
Investments Semi-annual funds report 08/2017 PULSAR/POLARIS/ OPTIMUS Range of sub - funds AXA Insurance Pte Ltd Company Reg No. 199903512M 8 Shenton Way, #24-01, AXA Tower Singapore 068811 Thank you for
More informationYour choice of pension funds
Your choice of pension funds Contents Introduction 3 List of current investment funds by sector 4 Investment choice, flexibility and fund risks 8 Managed funds 10 Multimanaged funds 17 UK equity funds
More informationYOUR QUARTERLY FUND PERFORMANCE.
30 JUNE 2016 YOUR QUARTERLY FUND PERFORMANCE. We know it s important for you to stay up to speed with your fund s performance. That s why we provide this quarterly update on the performance of our range
More informationWorld Stockmarket Forecasts
Information and Advice on World Stockmarkets from Securities Research Company's... Inte ternational Investor Issue No. 234 www.stockmarket.co.nz June 8, 2015 Lower commodity and energy prices favourable
More informationSINGAPORE FUND FLOWS SUMMARY QUARTER END ANALYSIS March 31, 2014
SINGAPORE FUND FLOWS SUMMARY QUARTER END ANALYSIS Total Negative Net Fund Flow Continues, Equity Funds Enjoyed Its Privilege For Net Inflows in 1Q2014 Unit trusts registered for sale in Singapore, in aggregate,
More informationRETIREMENT WEALTH ACCOUNT
RETIREMENT WEALTH ACCOUNT FUND LIST JUNE 2018 This fund list details the Phoenix Wealth pension funds available through the Retirement Wealth Account. About this fund list There are three main fund ranges
More informationProduct - <<Product name>> Policyholder name - <<Policyholder name>> Policy number - <<Policy number>>
More information
INDIVIDUAL PENSION PLANS
INDIVIDUAL PENSION PLANS FUND LIST NOVEMBER 07 This fund list details the funds available to all Phoenix Wealth individual personal pension plans (except Retirement Wealth Account policies not upgraded
More information