|
|
|
| AIA GREATER CHINA BALANCED FUND |
| |
|
Investment Objective To achieve long-term capital growth principally from a portfolio of equity and equity related securities of companies with exposure to the economies of countries within the Greater China Region, as well as stable income with capital preservation through investments in fixed income securities of high credit quality issuers, denominated primarily in SGD, in such proportion as the Managers deem fit.
Investment Strategy The Fund invests, on average, 60% into the AIG Greater China Equity Fund plc and 40% into the AIG International Funds - Singapore Bond Fund. The asset mix may vary depending on market conditions.
Investment Manager AIG Investment Corporation (Asia) Limited and AIG Global Investment Corporation (Singapore) Limited.
Benchmark 60% MSCI China Dragon Index & 40% JP Morgan Sing Govt Bond Index All.
Annual Fund Management Fee 1.50% per annum
For more details, click below to download document. AIA_Greater_China_Funds.pdf
|
| |
| |
|
|
|
|
|
|
|
|