Fund offering documents
- Key facts
- Price & performance
- Fund performance
- Historical fund price
| Date | Bid Price |
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Bid Prices are only available from 31/12/2004 onwards, which is the launch date of the investment option.
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Key facts
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Investment objective
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This is a balanced fund and is managed with the objective of achieving medium to long-term capital appreciation by investing primarily in Singapore equities (Singapore-domiciled companies listed on/outside Singapore stock exchange) and primarily in high credit quality Singapore dollar denominated fixed income instruments issued by Singapore and non-Singapore entities. Approximately 70% of the fund is invested in equities and 30% in fixed income securities, although this asset mix may vary, depending on market conditions. It may also invest up to 10% of the equities portfolio in Asia (excluding Singapore) equities. |
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Manager of ILP fund
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AIA Investment Management Private Limited |
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Annual management fee
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1.25% p.a. of Net Asset Value |
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Source of fund
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Cash, CPF (OA & SA) and SRS |
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Name of underlying fund
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NIL |
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Benchmark
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70% MSCI Singapore & 30% Markit iBoxx SGD Overall Index TR |