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Invest in this fund
Latest bid price
8.765
As of 30 Jun 2020
Fees & Charges | |
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Pay with | Cash, SRS |
Initial sales charge | Up to 3.5% for Cash and SRS Investments. |
Annual management fee | 1.25% p.a.* which includes management fee charged by the investment manager of the Schroder International Selection Fund Global Multi-Asset Income. |
*Not guaranteed and may be reviewed from time to time. However, it shall not exceed 2.0% of the sub-fund balance at any point in time.
About the fund
Fund type | Thematic Fund |
Launch date | 26 Mar 2015 |
Investment objective | The Global Income Fund aims to provide income and capital growth over the medium to long-term by investing primarily in global equities and global fixed income securities directly or indirectly through the use of investment funds or financial derivative instruments (including, but not limited to futures, options and credit default swaps). The sub-fund currently offers a monthly distribution pay-out feature. Distributions are not guaranteed and can be made out of the income, capital gains and/or capital of the sub-fund. Testing 123 1234 |
Investment scope | The sub-fund intends to achieve the objective by investing all or substantially all of its assets in Schroder International Selection Fund Global Multi-Asset Income (“underlying fund”) in SGD Hedged A Distribution Share Class. The underlying fund invests at least two-thirds of its assets directly or indirectly through derivatives in equity and equity-related securities, fixed income securities and alternative asset classes. As the underlying fund is index-unconstrained it is managed without reference to an index. The sub-fund is denominated in Singapore Dollars. |
Fund manager | NTUC Income Insurance Co-operative Limited |
Sub-investment managers | Schroder Investment Management Limited |
Inclusion in CPFIS | N.A. |
Structure | Single fund |
Benchmark | The Global Income Fund is unconstrained and therefore not managed with reference to a benchmark. |
Download detailed fund summary
The first distribution declaration is scheduled to start on 28 April 2015. The distribution from the sub-fund will be payable on a monthly basis within 45 days from the declaration date.
The distributions are not guaranteed.
Key downloads
Fund Summary
Outlines the objective, scope, and approach of the sub-fund with comprehensive details on other key aspects.
Product Highlight Sheet
Covers key features, terms and risks, and fees and charges of the sub-fund.
Monthly Factsheet
View top investment holdings, fund allocations, and fund performance compared against benchmarks.
Historical Distribution
View the historical distribution of the monthly payouts offered by this sub-fund.
Frequently Asked Questions
Get answers on topics such as the objective and strategy of the fund among other considerations.