United Asian High Yield Bond Fund

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Transcription:

Investment Objective The United Asian High Yield Bond seeks to achieve a total return consisting of high income and capital appreciation by investing primarily in high yield fixed income or debt securities (including money market instruments) issued by Asian corporations, financial institutions, governments and their agencies. Performance Since Inception in Base Currency United Asian High Yield Bond SGD Dist Benchmark Information Size SGD 186.82 mil Base Currency SGD Ratings 160 140 120 100 80 04/13 02/14 12/14 10/15 08/16 06/17 04/18 performance is calculated on a NAV to NAV basis. Benchmark: J.P. Morgan Asia Credit Index (JACI) Non-Investment Grade Total Return Index as of 31 October 2018 Awards Best Fixed-Income House UOB Asset Management Ltd. Morningstar Singapore Awards 2017 Performance By Share Class Cumulative Performance Annualised Performance 1M 3M 6M 1Y 3Y 5Y 10Y Since Incept SGD Acc NAV to NAV 0.25 0.99 1.41-2.63 4.34 -- -- 5.62-2.76-2.04-1.63-5.55 3.28 -- -- 4.69 Benchmark -1.18-0.22 1.62-2.98 3.61 -- -- 5.01 A SGD Acc (Hedged) NAV to NAV -1.13-0.82-3.31 -- -- -- -- -3.89-4.10-3.80-6.21 -- -- -- -- -6.78 Benchmark -1.18-0.22 1.62 -- -- -- -- 0.64 SGD Dist NAV to NAV 0.21 1.02 1.41-2.63 4.39 8.71 -- 7.21-2.79-2.01-1.63-5.55 3.33 8.05 -- 6.63 Benchmark -1.18-0.22 1.62-2.98 3.61 7.33 -- 6.68 Contact Details UOB Asset Management Ltd 80 Raffles Place #03-00 UOB Plaza 2 Singapore 048624 Hotline 1800 22 22 228(8am to 8pm daily, Singapore time) Email uobam@uobgroup.com Website uobam.com.sg

Performance By Share Class Cumulative Performance Annualised Performance 1M 3M 6M 1Y 3Y 5Y 10Y Since Incept SGD Dist (Hedged) NAV to NAV -1.19-0.80-3.29 -- -- -- -- -5.76-4.16-3.78-6.19 -- -- -- -- -8.58 Benchmark -1.18-0.22 1.62 -- -- -- -- -1.69 Source: Morningstar. Performance as at 31 October 2018, SGD basis, with dividends and distributions reinvested, if any. Performance figures for 1 month till 1 year show the % change, while performance figures above 1 year show the average annual compounded returns. Since inception performance under 1 year is not annualised. ^Includes the effect of the subscription fee applied.

Portfolio Characteristics Sector Allocation Real Estate 49.06 Consumer Discretionary 11.31 Materials 10.12 Industrials 9.72 Financials 5.09 Utilities 2.13 Government 1.68 Health care 1.52 Consumer Staples 0.64 Cash 8.73 Country Allocation China 59.83 Singapore 8.82 Netherlands 6.63 Indonesia 6.48 Mongolia 4.27 Mauritius 2.13 Hong Kong 1.64 Japan 1.47 Cash 8.73 Top 5 Holdings Statistics SUNAC CHINA HOLDINGS LTD COMPANY 07/21 7.35 4.28 HONG SENG LTD COMPANY 11/18 8.5 4.12 BUKIT MAKMUR MANDIRI UTA 02/22 7.75 3.43 PB INTERNATIONAL BV COMPANY 01/22 7.625 3.37 GLOBAL PRIME CAPITAL COMPANY 04/21 7.25 3.31 Effective Duration 1.95 Years Number of Issues 46 Weighted Average Maturity 5.59 Years Weighted Average Yield to Maturity 9.63 % 3 Year Annualised Std Deviation 3.92 % Share Class Details Share Class NAV Price Bloomberg Ticker ISIN Code Inception Date Subscription mode SGD Acc SGD 1.221 UAHYBSA SP SG9999010011 May 15 Cash, SRS A SGD Acc (Hedged) SGD 0.963 UAHYASA SP SG9999017628 Jan 18 Cash, SRS SGD Dist SGD 1.083 UAHYBSD SP SG9999010029 Apr 13 Cash, SRS SGD Dist (Hedged) SGD 0.888 UAHYASD SP SG9999017636 Dec 17 Cash, SRS Share Class Min. initial investment Min. subsequent investment Subscription fee Annual management fee SGD Acc SGD 1,000 SGD 500 3 1.25 A SGD Acc (Hedged) SGD 1,000 SGD 500 3 1.25 SGD Dist SGD 1,000 SGD 500 3 1.25 SGD Dist (Hedged) SGD 1,000 SGD 500 3 1.25 All data as of 31 October 2018, unless otherwise specified.

Dividends Share Class Expected Frequency Last Distribution Annualized Yield Ex-Div Date SGD Dist Monthly 0.00634155 7.24 01 Oct 18 SGD Dist (Hedged) Monthly 0.00527393 -- 01 Oct 18 All data as of 31 October 2018, unless otherwise specified.

Important Notice & Disclaimers Investors should consider carefully whether to subscribe for units in the base currency of the or for units in various classes which are denominated in their respective currencies. The difference in the performances of the in various currencies, if applicable, is a reflection of fluctuating exchange rates during the relevant period. A prospectus for the fund(s) (the "(s)") may be obtained from the Manager or any of its appointed distributors. Investors should read the prospectus before deciding whether to subscribe for or purchase units in the (s) ("Units"). All applications for Units must be made on application forms accompanying the prospectus or otherwise as described in the prospectus. Past performance of the (s) or the Manager and any prediction, projection or forecast on the economy or markets are not necessarily indicative of the future or likely performance of the (s) or the Manager. Any extraordinary performance may be due to exceptional circumstances which may not be sustainable. The value of Units and any income from the (s) may fall as well as rise. The above information is strictly for general information only and must not be construed as an offer or solicitation to deal in Units, nor a recommendation to invest in any company mentioned herein. Investments in unit trusts are not obligations of, deposits in, or guaranteed or insured by UOB, UOBAM, or any affiliates or distributors. The may use or invest in financial derivative instruments and you should be aware of the risks associated with investments in financial derivative instruments which are described in the 's prospectus. An investment in unit trusts is subject to investment risks and foreign exchange risks, including the possible loss of the principal amount invested. Investors may wish to seek advice from a financial adviser before making a commitment to invest in Units. In the event an investor chooses not to seek advice from a financial adviser, the investor should consider carefully whether the (s) is/are suitable for him. UOB Asset Management Ltd Company Reg No. 198600120Z