Guotai Junan Investment Grade Bond Fund (the “Sub-Fund”) invests globally in a portfolio consisting primarily of investment grade debt securities to generate a steady flow of income in addition to capital appreciation for the Sub-Fund. There can be no assurance that the Sub-Fund will achieve its investment objective. The Sub-Fund does not guarantee repayment of principal and the Manager has no obligation to redeem the Shares at the offer value.
The Sub-Fund is subject to various risk factors, including but not limited to credit risk, counterparty risk, liquidity risk, interest rate risk, credit rating risk, risk associated with debt securities rated below investment grade or unrated, downgrading risk, valuation risk, sovereign debt risk, and numerous other relevant risks.
The investment decision is yours. You should not invest unless the intermediary who sells this Sub-Fund to you has advised you that this Sub-Fund is suitable for you and has explained why, including how investing in it would be consistent with your investment objectives.
You should not base on this material alone to make investment decision. Please read the offering documents of the Sub-Fund carefully for fund details, including the risk factors involved, before making any investment decision.
Investment involves risks. The price of shares may go down as well as up. Past performance is not indicative of future performance.
The Net Asset Value (NAV) per share price is calculated based on the Valuation Report provided by BOCI-Prudential Trustee Limited.
The Manager may at its discretion pay dividends out of or effectively out of the capital of the Sub-Fund. Payment of distributions out of capital or effectively out of capital amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment and may result in an immediate reduction of the Net Asset Value per Share of the Sub-Fund.
Investment Objective |
The investment objective of the Sub-Fund is to achieve long term capital growth through investing globally in a portfolio consisting primarily of investment grade debt securities to generate a steady flow of income in addition to capital appreciation for the Sub-Fund. There can be no assurance that the Sub-Fund will achieve its investment objective. |
Fund Information | |
Name | Guotai Junan Investment Grade Bond Fund |
Inception Date | 1-Nov-2024 |
Domicile | Hong Kong |
Legal Structure | Open Ended Fund Company |
Investment Manager | Guotai Junan Assets (Asia) Limited |
Base Currency | USD |
Dealing Frequency | Daily (Hong Kong business days) |
Custodian | BOCI-Prudential Trustee Limited |
Administrator | BOCI-Prudential Trustee Limited |
Auditor | Ernst & Young |
Subscription and Redemption | |||
Share Class | Class A | Class I | Class S |
Share Class name | Class A (accumulation) HKD Class A (distribution) HKD Class A (accumulation) USD Class A (distribution) USD Class A (accumulation) Hedged RMB Class A (distribution) Hedged RMB Class A (accumulation) Unhedged RMB Class A (distribution) Unhedged RMB | Class I (accumulation) HKD Class I (distribution) HKD Class I (accumulation) USD Class I (distribution) USD Class I (accumulation) Hedged RMB Class I (distribution) Hedged RMB Class I (accumulation) Unhedged RMB Class I (distribution) Unhedged RMB | Class S (accumulation) HKD |
Minimum initial investment amount | HKD 1 / USD 1 / RMB 1 | HKD 1,000,000 / | HKD 1 |
Minimum subsequent investment amount | HKD 1 / USD 1 / RMB 1 | HKD 1,000,000 / | HKD 1 |
Initial issue price | 100 per share in the respective class currency | ||
Management fee | 0.80% per annum | 0.40% per annum | Nil |
Subscription fee | Up to 5% of the subscription amount | ||
Redemption fee^ | Nil | ||
Custodian fee and Administration fee^ | Nil | ||
Dividend policy | Discretionary (if any) |
•Guotai Junan Assets (Asia) Limited is licensed by the Securities and Futures
Commission ("SFC") as a Licensed Corporation, CE number ADH990, for
carrying out Type 1 (Dealing in Securities), Type 4 (Advising on Securities)
and Type 9 (Asset Management) regulated activities.
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Online Service
General : (852) 2509 9118 |
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Customer : |
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Investor and Media : |
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Complaint Hotline: (852) 2509 5432 |
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Complaint Email: |
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