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Latest bid price

8.765

As of 30 Jun 2020

Fees & Charges
Pay with Cash, SRS, CPFIS (OA), CPFIS (SA)
Initial sales charge Up to 3.5% for Cash and SRS investments. Up to 1.5% for CPF investments.
Annual management fee 1.0% p.a.*

*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 2 Aug 1973
Investment objective The objective of this sub-fund is to achieve long-term capital appreciation by investing in Asian equities and in Singapore bonds.
Investment scope The sub-fund invests primarily 60% of its assets in Asian equities and 40% in the Singapore Bond Fund. The investment scope for Asian equities is mainly in Singapore (30%), Hong Kong (20%) and Thailand (10%). The sub-fund is denominated in Singapore Dollars.
Fund manager NTUC Income Insurance Co-operative Limited
Sub-investment managers

Fullerton Fund Management Company Ltd

CPFIS risk classification Medium to High Risk, Narrowly Focused – Regional – Asia
Inclusion in CPFIS Yes (CPF OA and CPF SA)
Structure Single fund
Benchmark 30% FTSE Straits Times Index (FTSE STI) 20% Hang Seng Index in Singapore Dollars 10% Stock Exchange of Thailand Index in Singapore Dollars 40% Singapore 3-month SIBOR

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Outlines the objective, scope, and approach of the sub-fund with comprehensive details on other key aspects.

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Covers key features, terms and risks, and fees and charges of the sub-fund.

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