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| AIA MANAGED PORTFOLIO FUND |
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Investment Strategy AIA Portfolio 30 aims to achieve conservative long term capital growth while earning more stable income by pursuing a strategic asset allocation of 25% in equities and 75% in bonds.
AIA Portfolio 50 aims to achieve a balance between long term capital growth and stable income by pursuing a strategic asset allocation of 45% in equities and 55% in bonds.
AIA Portfolio 70 aims to achieve moderate long term capital growth and minimal stable income by pursuing a strategic asset allocation of 65% in equities and 35% in bonds.
AIA Portfolio 100 aims to achieve pure long term capital growth by pursuing a strategic asset allocation of 100% in equities.
Investment Manager AIG Global Investment Corporation (Singapore) Limited
AIA Portfolio 30
Benchmark 25% MSCI AC World Free Index & 75% JP Morgan Sin Bond Index
Annual Fund Management Fee 1.25% per annum
AIA Portfolio 70
Benchmark 45% MSCI AC World Free Index & 40% JP Morgan Sing Bond Index & 15% Salomon World Govt Bond Index
Annual Fund Management Fee 1.50% per annum
AIA Portfolio 70
Benchmark 65% MSCI AC World Free Index & 20% JP Morgan Sing Bond Index & 15% Salomon World Govt Bond Index
Annual Fund Management Fee 1.50% per annum
AIA Portfolio 100
Benchmark
MSCI AC World Free Index
Annual Fund Management Fee 1.50% per annum
For more details, click below to download document. AIA_Managed_Portfolios.pdf
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