BEA MPF Monthly Investment Summary Report

Similar documents
BEA (MPF) Industry Scheme Historical Fund Prices

Principal MPF Scheme Series 600. Principal MPF Scheme. Series 600. Overview of Constituent Funds

BEA (MPF) Industry Scheme Explanatory Memorandum

BEA (MPF) Master Trust Scheme Explanatory Memorandum

Privileged Rates Program

BEA (MPF) Value Scheme Explanatory Memorandum

BEA (MPF) Value Scheme. Member Participation Agreement (Self-Employed Person)

Mandatory Provident Fund

Principal The World s Retirement Services Specialist MPF Scheme 信安強積金 專業專心

BEA (MPF) Master Trust Scheme (the Master Trust ) DIS Pre-Implementation Notice to Participating Employers and Members

For Manulife Personal Account Be better prepared for your retirement.

Manulife MPF Plan Advanced (the Plan ) DIS Pre-implementation Notice to Participating Employers and Members 1

Principal MPF Scheme Series 800. Principal MPF Scheme. Series 800. Overview of Constituent Funds

Sun Life MPF Master Trust. Consolidated Offering Document

The Scheme. Trustee. MassMutual Trustees Limited 4/F & 12/F MassMutual Tower 38 Gloucester Road Wanchai, Hong Kong. Investment Manager.

PRODUCT KEY FACTS. Table of Content. BEA Union Investment Global Themes Fund 1. BEA Union Investment Asian Bond and Currency Fund 7

FWD MPF MASTER TRUST BASIC SCHEME

Haitong International Asset Management (HK) Limited Trustee:

Product Key Facts April BEA Union Investment Series. BEA Union Investment Asian Bond and Currency Fund. BEA Union Investment China Phoenix Fund

AIA MPF - Prime Value Choice Principal Brochure

mandatory provident fund

Principal MPF - simple plan

(I) Introduction to Mandatory Provident Fund 2-3. (II) Enrolment 4. (III) Contribution Arrangement 5-6. (IV) Voluntary Contributions 7

PRODUCT KEY FACTS BEA Union Investment Series - BEA Union Investment Asian Bond and Currency Fund

PRODUCT KEY FACTS BOCHK RMB Fixed Income Fund

PRODUCT KEY FACTS BOCHK RMB Fixed Income Fund

Investment Objective2. Investment Mix2. Managed by Multi-manager Investment Approach. Sun Life MPF Conservative Fund

Consolidated Offering Document January 2012 Edition

BEA Union Investment Capital Growth Fund

Brief Introduction. Hang Seng Mandatory Provident Fund

Allianz Global Investors MPF Plan. Allianz Global Investors MPF Plan Prospectus

Principal MPF Scheme Series 800. Principal Brochure

CSOP China 5-Year Treasury Bond ETF HKEx Listed. Direct access to China onshore RMB treasury bonds.

GF Asset Management (Hong Kong) Limited Custodian:

Haitong International Asset Management (HK) Limited Trustee:

Enrolment Kit. HSBC Mandatory Provident Fund

Outlook and Strategy Hong Kong China Funds

PRODUCT KEY FACTS. Quick facts Manager: Trustee: Custodian: Dealing frequency: Base currency: Ongoing charges over a year:

Principal MPF - Smart Plan

Manulife Global Select (MPF) Scheme

PRODUCT KEY FACTS ChinaAMC Select Fund - ChinaAMC Select China New Economy Fund (the Sub-Fund ) September 2016

PRODUCT KEY FACTS NCB China Equity Fund

Hang Seng MPF. Personal Account Flexi-Contributions

No. of ordinary shares

Principal MPF Scheme Series 600 Principal Brochure

PRODUCT KEY FACTS BOCHK Asia Pacific Property Fund

Sun Life. Rainbow MPF Scheme. Principal Brochure

Service and Support for your Retirement Plan

Replacement of the Trustee and Custodian, and removal of the Administrator for Principal MPF Smart Plan and Principal MPF Simple Plan

PRINCIPAL BROCHURE AMTD MPF SCHEME

PRODUCT KEY FACTS SWS STRATEGIC INVESTMENT FUNDS Shenyin Wanguo RQFII A Share Strategy Fund April 2017

mandatory provident fund

PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie IPO China Gateway Fund 30 April 2018

Outlook and Strategy Income Funds

The University MPF Scheme

Global Select Manulife (MPF) Scheme

Daily, on every business day in Hong Kong except Saturday

Sun Life. Rainbow MPF Scheme. Principal Brochure

MANDATORY PROVIDENT FUND SCHEMES ORDINANCE (CAP. 485) ( the Ordinance ) QUARTERLY STATISTICAL RETURN OF REGISTERED SCHEME

Issuer: Zeal Asset Management Limited November This statement provides you with key information about this product.

Outlook and Strategy Income Funds

Manager and RQFII Holder: E Fund Management (Hong Kong) Co., Limited Bank of Communications Trustee Limited

BOCI-Prudential is offering Unlimited times on changing investment fund instructions with free of charge.

In the usual course of business the application of a dilution adjustment will be triggered mechanically and on a consistent basis.

AIA MPF Personal Account

Principal Brochure. HSBC Mandatory Provident Fund ValueChoice

Haitong Global RMB Fixed Income Fund

PRINCIPAL BROCHURE AMTD MPF SCHEME

AIA MPF Happy Retirement Savings Program

PRODUCT KEY FACTS ChinaAMC Select Fund - ChinaAMC Select RMB Short-term Bond Fund (the Sub-Fund ) April 2017

Part A MPF Scheme Members

PRODUCT HIGHLIGHTS SHEET

PRODUCT KEY FACTS Value Partners Greater China High Yield Income Fund

FIDELITY RETIREMENT MASTER TRUST DIS Pre-implementation Notice to Participating Employers and Members 1

PRODUCT KEY FACTS. Quick facts. BOCHK Wealth Creation Series BOCHK All Weather Asian Bond Fund. April Issuer: BOCHK Asset Management Limited

HFT (HK) China Investment Series II HFT (HK) China RMB Money Market Fund (the Sub-Fund)

Product Key Facts. Amundi HK Portfolios

Cumulative Performance Class A 1. Fund Performance 1. Portfolio Breakdown 5. Government Bonds. Corporate Bonds 19.73% Convertible Bonds 6.06% 12.

PRODUCT KEY FACTS ChinaAMC Select Fund - ChinaAMC Select RMB Bond Fund (the Sub-Fund ) April 2017

Principal Brochure. HSBC Mandatory Provident Fund ValueChoice

PRODUCT KEY FACTS Value Partners Greater China High Yield Income Fund

中銀國際英國保誠資產管理有限公司 BOCI-PRUDENTIAL ASSET MANAGEMENT LIMITED

Allianz Global Investors Asia Fund

PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie Asia New Stars Fund 16 December 2018

Sun Life MPF Comprehensive Scheme

PRODUCT HIGHLIGHTS SHEET

AIA MPF Personal Account Consolidate your MPF assets for easy management

Principal Brochure. HSBC Mandatory Provident Fund SuperTrust Plus

PRODUCT HIGHLIGHTS SHEET

MPF Guide. Hang Seng Mandatory Provident Fund

NOTES TO TRANSFER BENEFITS BY SCHEME MEMBER (for self-employed person, personal account holder or employee ceasing employment)

FORM MPF(S) W(R) MPF(S) W(R)

PRODUCT HIGHLIGHTS SHEET

Principal Brochure. BOC-Prudential Easy-Choice. Mandatory Provident Fund Scheme. BOCI-Prudential Trustee Limited

1. What is the reason for the acquisition of AXA s pension business by Principal (the Transaction )?

PRODUCT HIGHLIGHTS SHEET

Member s Guide. HSBC Mandatory Provident Fund

PRODUCT KEY FACTS Macquarie Unit Trust Series- Macquarie IPO China Concentrated Core Fund 30 April 2018

Annually at the Manager s discretion (May in each year) Financial year end of.

Allianz Global Investors MPF Plan (the Master Trust ) DIS Pre-implementation Notice to Participating Employers and Members 1

Transcription:

BEA MPF Monthly Investment Summary Report as at 31 st July, December, 2015 2016 2015731 2016 12 IMPORTANT:. BEA (MPF) Master Trust Scheme constituent funds Cumulative Return Calendar Year Return 2011 2010 2012 2011 2012 2013 2013 2014 2014 2015 BEA (MPF) Growth Fund 3,163.45 17.9837 1.94% -0.47% -3.72% 1.94% 79.84% -10.98% 12.73% 11.25% 0.72% -4.07% BEA (MPF) Balanced Fund 1,628.39 16.9010 1.71% -0.51% -4.47% 1.71% 69.01% -7.30% 10.14% 7.24% 1.05% -3.25% BEA (MPF) Stable Fund 1,720.82 16.2798 1.39% -0.54% -5.40% 1.39% 62.80% -3.77% 7.67% 3.62% 1.24% -3.12% BEA (MPF) Global 136.57 12.7616 3.87% 1.58% -0.71% 3.87% 27.62% -12.35% 12.23% 18.75% 0.82% 1.08%

BEA (MPF) Master Trust Scheme constituent funds Cumulative Return Calendar Year Return 2010 2011 2011 2012 2012 2013 2013 2014 2015 2014 BEA (MPF) European 73.17 10.8865 1.47% 4.85% 0.06% 1.47% 8.86% -14.81% 18.60% 21.35% -6.92% 1.90% BEA (MPF) North American 31/1/2012 96.35 15.0653 9.74% 1.75% 3.53% 9.74% 50.65% N/A N/A -1.40% # 26.32% 10.81% -0.54% BEA (MPF) Asian 1/9/2005 730.49 17.7697 2.87% -2.95% -7.48% 2.87% 77.70% -18.71% 21.31% 2.77% 3.23% -9.72% BEA (MPF) Greater China 1/12/2006 1,076.04 13.8953 0.44% -3.86% -7.22% 0.44% 38.95% -22.75% 20.52% 10.95% 2.93% -7.12% BEA (MPF) Japan 1/12/2006 70.23 7.0704-4.08% 0.24% 2.46% -4.08% -29.30% -17.63% 10.13% 35.46% -2.55% 6.44% BEA (MPF) Hong Kong 1/9/2005 721.47 17.6612-0.53% -3.84% -6.29% -0.53% 76.61% -20.98% 22.69% 4.80% 3.32% -7.51% BEA China 31/1/2012 116.60 8.7801-0.74% -5.11% -2.53% -0.74% -12.20% N/A N/A -1.34% # -3.81% 13.73% -18.05% BEA Hong Kong 31/1/2012 120.88 11.5850 2.63% -3.98% -5.57% 2.63% 15.85% N/A N/A 9.14% # 4.42% 4.46% -5.18% BEA (MPF) Global Bond Fund 1/9/2005 211.68 11.1887 0.84% -0.75% -6.55% 0.84% 11.89% 2.62% 4.59% -1.33% 1.51% -3.30% BEA (MPF) RMB & HKD Money Market Fund 1 62.03 9.8778-1.90% -0.35% -2.04% -1.90% -1.22% N/A 0.62% 2.37% -0.40% -1.84% BEA (MPF) Long Term Guaranteed Fund 2 692.26 12.6911-0.49% -0.57% -2.74% -0.49% 26.91% 0.56% 6.23% -0.43% 1.78% -0.94% MPF0035(12/2016) MPF0035(07/2015) BEA (MPF) Conservative Fund 3,4 1,132.41 13.5991 0.76% 0.07% 0.21% 0.76% 35.99% 0.79% 1.35% 0.91% 1.14% 0.84%

BEA (MPF) Scheme constituent funds Cumulative Return Calendar Year Return 2011 2010 2011 2012 2013 2012 2013 2014 2014 2015 BEA Growth Fund 25/10/2012 5.21 11.0739 2.29% -0.56% -4.31% 2.29% 10.74% N/A N/A 0.88% # N/A 10.53% 1.17% -4.02% BEA Balanced Fund 25/10/2012 3.59 10.9027 2.36% -0.56% -4.78% 2.36% 9.03% N/A N/A 1.24% # N/A 6.15% 1.44% -2.29% BEA Stable Fund 25/10/2012 5.04 10.4736 1.85% -0.52% -5.50% 1.85% 4.74% N/A N/A 0.65% # N/A 3.60% 1.45% -2.78% BEA Global 25/10/2012 3.58 12.8523 3.91% 1.57% -1.00% 3.91% 28.52% N/A N/A 1.00% # N/A 20.30% 0.21% 1.58% BEA Asian 25/10/2012 2.48 9.8223 2.48% -3.22% -7.22% 2.48% -1.78% N/A N/A 1.91% # N/A 6.85% -1.40% -10.73% BEA Greater China 25/10/2012 3.88 11.3600 0.97% -3.82% -7.24% 0.97% 13.60% N/A N/A 3.61% # N/A 13.01% 3.10% -6.81% BEA Greater China 25/10/2012 2.52 10.8681 4.92% -3.88% -5.49% 4.92% 8.68% N/A N/A -0.98% # N/A 6.00% 6.34% -7.19% BEA Hong Kong 25/10/2012 9.49 10.6978 2.72% -3.98% -5.62% 2.72% 6.98% N/A N/A 1.02% # N/A 3.76% 4.55% -4.97% BEA Global Bond Fund 25/10/2012 1.95 9.7896 1.33% -0.47% -6.85% 1.33% -2.10% N/A N/A -0.07% # N/A -0.77% 1.53% -4.04% BEA MPF Conservative Fund 3,5 6.69 10.2423 0.63% 0.06% 0.17% 0.63% 2.42% N/A 0.00% N/A 0.32% 0.81% 0.63%

BEA (MPF) Industry Scheme constituent funds Cumulative Return Calendar Year Return 2010 2011 2011 2012 2013 2012 2013 2014 2014 2015 Growth Fund 2,099.08 18.6058 1.99% -0.46% -3.69% 1.99% 86.06% -10.61% 12.93% 11.28% 0.67% -4.10% Balanced Fund 1,340.20 17.1339 1.75% -0.50% -4.45% 1.75% 71.34% -7.05% 10.37% 7.28% 1.01% -3.33% Stable Fund 2,523.99 16.6585 1.40% -0.53% -5.36% 1.40% 66.59% -3.42% 7.86% 3.60% 1.23% -3.10% Asian 31/1/2012 73.73 10.3803 2.78% -2.92% -7.44% 2.78% 3.80% N/A N/A 6.14% # 3.08% 2.17% -9.65% Greater China 237.31 11.0130 0.40% -3.84% -7.17% 0.40% 10.13% -22.19% 20.69% 10.85% 2.92% -7.05% Hong Kong 223.85 10.5214-0.54% -3.81% -6.27% -0.54% 5.21% -20.70% 22.68% 5.08% 3.29% -7.52% BEA China 31/1/2012 44.23 9.0154-0.52% -5.11% -2.56% -0.52% -9.85% N/A N/A 1.13% # -3.39% 13.45% -18.24% BEA Hong Kong 31/1/2012 41.05 11.5143 2.69% -3.98% -5.60% 2.69% 15.14% N/A N/A 8.25% # 4.63% 4.26% -5.04% RMB & HKD Money Market Fund 1 3/7/2012 50.39 9.8385-1.99% -0.36% -2.06% -1.99% -1.62% N/A N/A 0.65% # 2.06% -0.42% -1.87% MPF Conservative Fund 3,6 2,287.63 13.0554 0.76% 0.07% 0.20% 0.76% 30.55% 0.79% 1.32% 0.90% 1.16% 0.83%

Remarks Sponsor: The Bank of East Asia, Limited Issuer: Bank of East Asia (Trustees) Limited Source: Bank of East Asia (Trustees) Limited and Lipper # If the fund performance is less than 1, the calendar return will be calculated from the launch date to that calendar -end. 1 These constituent funds are denominated in HKD only and not in RMB. Their investment in RMB deposits and RMB debt instruments will be subject to additional currency risks. In particular, RMB is currently not a freely convertible currency and is subject to foreign exchange controls and repatriation restrictions imposed by the Chinese government. Also, their investment in offshore RMB debt securities will be subject to additional market / liquidity risks. There is currently no active secondary market for offshore RMB debt securities and therefore, these constituent funds may need to hold investments until maturity date of such offshore RMB debt securities. In addition, although the issuance of offshore RMB debt securities has increased substantially in recent s, supply still lags the demand for offshore RMB debt securities. As a result, new issues of offshore RMB debt securities are usually oversubscribed and may be priced higher than and / or trade with a lower yield than equivalent onshore RMB debt securities. Currently, most of the offshore RMB debt securities available in the market may not meet the requirements under Schedule 1 to the Mandatory Provident Fund Schemes (General) Regulation and therefore, the offshore RMB debts securities available for investment by these constituent funds may be limited which may result in concentration of credit risk. 2 BEA (MPF) Long Term Guaranteed Fund invests solely in an approved pooled investment fund (the "Underlying Fund") in a form of insurance policy provided by Principal Insurance Company (Hong Kong) Limited (the "Guarantor"). The Guarantor offers the guarantee of capital and guaranteed rate of return for the Underlying Fund. The guaranteed rate of return for contributions made to the Underlying Fund after 30 th September, 2004 was revised. The revised guarantee rate would be the "new applicable rate", which is currently set at 1% p.a. The guaranteed rate of return for contributions made to the Underlying Fund on or before 30 th September, 2004 remains unchanged (5% p.a.). The guarantee of capital and the prescribed guarantee rate of return will only be offered if the contributions invested in the Underlying Fund (through the BEA (MPF) Long Term Guaranteed Fund) are withdrawn upon the occurrence of a "qualifying event", which is the receipt by the Guarantor of a valid claim of the accrued benefits of the member upon satisfying any of the following conditions: (a) Attainment of the normal retirement age or retirement at or after the early retirement age but before the normal retirement age; (b) Total incapacity; (c) Death; (d) Permanent departure from Hong Kong; (e) Claim of "small balance"; (f) Termination of the member's employment and the continuous period for which the member has been investing in the Underlying Fund (through the BEA (MPF) Long Term Guaranteed Fund) up to and including the last date of his employment ("qualifying period") is at least 36 complete. (This only applies if the member is employed in a company participating in the Master Trust). Such qualifying period is determined at the scheme account level. The qualifying period may also be reset to zero if the member (or his personal representative) effects a redemption, switching out or withdrawal of investments from the BEA (MPF) Long Term Guaranteed Fund other than upon the occurrence of a qualifying event. For the avoidance of doubt, condition (f) does not apply to self-employed persons, personal account holders or Special Voluntary Contribution Account Members; (g) Terminal illness. The conditions (a) to (e), and (g) apply to employee members, selfemployed persons, personal account holders and Special Voluntary Contribution Account Members. If a redemption, switching out or withdrawal of the units of the fund is effected other than the occurrence of a qualifying event as stated above, the guarantee will be affected. Special terms and conditions apply regarding how the guarantee operates. Please refer to the Appendix 1 of the Explanatory Memorandum for details of the credit risk, guarantee features and guarantee conditions of this constituent fund.

3 BEA (MPF) Conservative Fund, BEA MPF Conservative Fund and MPF Conservative Fund (collectively "MCF") do not provide any guarantee of the repayment of capital. Investment in MCF is not equivalent to placing funds on deposit with a bank or deposit-taking company. MCF are not subject to the supervision of the Hong Kong Monetary Authority. Fees and charges of MPF conservative fund can be deducted from either (i) the assets of the fund or (ii) members' account by way of unit deduction. MCF use method (ii) and, therefore, unit prices, net asset value and fund performance quoted (except for the fund performance figures quoted in a fund fact sheet) do not reflect the impact of fees and charges. 4 Performance figures for BEA (MPF) Conservative Fund are calculated before fees and charges incurred by the fund are taken into account by way of unit deduction from members' account. As an illustration of the impact of such unit deduction, the 1- performance figure for the period from 1 st April, [xxxx] 2015 to 31 st March, [xxxx] 2016 before adjustment to account for such deduction is [x.xx]% 0.77 and the same figure after such adjustment is [x.xx]%. 0.05 Please note that this illustration is for general reference only and is based on fee deduction at the fund level (not at individual members' account level). Therefore, this adjusted return MIGHT NOT reflect the after-fee return in your MPF account. Please refer to the Fund Fact Sheet for the calculation of the fund performance of BEA (MPF) Conservative Fund after adjustment for fees and charges on a fund level basis. 2015 2016 0.77 0.05 5 Performance figures for BEA MPF Conservative Fund are calculated before fees and charges incurred by the fund are taken into account by way of unit deduction from members' account. As an illustration of the impact of such unit deduction, the 1- performance figure for the period from 1 st April, 2015 [xxxx] to 31 st March, [xxxx] 2016 before adjustment to account for such deduction is [x.xx]% 0.60 and the same figure after such adjustment is [x.xx]%. 0.13 Please note that this illustration is for general reference only and is based on fee deduction at the fund level (not at individual members' account level). Therefore, this adjusted return MIGHT NOT reflect the after-fee return in your MPF account. Please refer to the Fund Fact Sheet for the calculation of the fund performance of BEA MPF Conservative Fund after adjustment for fees and charges on a fund level basis. 2015 2016 0.60 0.13 6 Performance figures for MPF Conservative Fund are calculated before fees and charges incurred by the fund are taken into account by way of unit deduction from members' account. As an illustration of the impact of such unit deduction, the 1- performance figure for the period from 1 st April, [xxxx] 2015 to 31 st March, [xxxx] 2016 before adjustment to account for such deduction is [x.xx]% 0.76 and the same figure after such adjustment is 0.08 [x.xx]%. Please note that this illustration is for general reference only and is based on fee deduction at the fund level (not at individual members account level). Therefore, this adjusted return MIGHT NOT reflect the after-fee return in your MPF account. Please refer to the Fund Fact Sheet for the calculation of the fund performance of MPF Conservative Fund after adjustment for fees and charges on a fund level basis. 2015 2016 0.76 0.08 Fund performance is calculated in HK$ on NAV to NAV basis, with dividends reinvested. Investments inherently involve risks and the unit prices of constituent funds may go down as well as up. The above figures are for indication only while past performance is not indicative of future performance. For further details including the product features and risk factors involved, please refer to the Explanatory Memorandum of the relevant scheme. You may, at any time and without charge, request Bank of East Asia (Trustees) Limited ("BEA Trustees") to stop using your personal data for direct marketing purposes. To do so, please send an email to BEAMPF@hkbea.com, or send a written request to BEA Trustees' Individual Data Protection Officer by post to 32 nd Floor, BEA Tower, Millennium City 5, 418 Kwun Tong Road, Kowloon, Hong Kong. BEA (MPF) Hotline 2211 1777