忠誠保守 退休基金 Pension Fund SmartSafe 15.12.2017 低至中 Low to medium 忠誠保守 退休基金將分散投資於環球股票及債券, 目標是為參與法人 參與人和供款人之供款謀求長遠的資本保值及穩定的資本增值 本基金適合一些願意承受風險較低及波動較小的投資者以獲取一些資本增值 ( 低至中 ) 基本資產的策略性配置為 : 債券 95%; 流動資產 5% 詳情請參閱基金管理規章 The objective of the Fund, in a long-term perspective, is to provide sponsors, members and contributors with capital preservation combined with steady capital appreciation by investing in a diversified portfolio of global shares and bonds. The Fund is suitable for investors willing to accept small degree of risk and volatility to seek some degree of appreciation (low to medium risk profile). Fund assets strategic allocation is: Bonds 95%; Liquidity 5%. For details, please refer to the Fund s Management Regulation. 1.05% -0.13% 0.32% 1.05% 2.03% NA NA 3.67% 2.48% 10.23 10.24 10.26 10.28 10.31 10.33 10.36 --- --- --- --- --- --- 10.40 10.35 10.30 10.25 10.20 10.15 100% 10.10 10.05 基金單位價值及其回報可升可跌 The value of Fund Units and the income from them can go down as well as up. 美金 USD 95.25% 分配 Fund Allocation 澳門幣 MOP 4.75%
環健 退休基金 Pension Fund International Stable 01.06.2010 低至中 Low to medium 環健 退休基金將分散投資於環球股票及債券, 目標是為參與法人 參與人和供款人之供款謀求長遠的資本增值 本基金適合一些願意承受不太大風險的投資者以獲取較高的長期回報 ( 低至中 ) 基本資產的策略性配置為 : 股票 25%; 債券 70%; 流動資產 5% 詳情請參閱基金管理規章 The objective of the Fund, in a long-term perspective, is to provide sponsors, members and contributors with capital appreciation by investing in a diversified portfolio of global shares and bonds. The Fund is suitable for investors willing to accept modest risks to seek higher long-term returns (low to medium risk profile). Fund assets strategic allocation is: Shares 25%; Bonds 70%; Liquidity 5%. For details, please refer to the Fund s Management Regulation. 7.01% 2.26% 2.23% 7.01% 3.34% 10.74% 10.07% 26.40% -5.30% 11.75 11.99 12.16 12.27 12.37 12.27 12.60 --- --- --- --- --- --- 亞馬遜公司 Amazon.com Inc 0.91% Facebook 公司 Facebook Inc 0.71% 微軟 Microsoft Corp 0.59% 萬事達卡 Mastercard Inc 0.49% 台積電 Taiwan Semiconductor Manufacturing Co Ltd 0.49% Alphabet 公司 Alphabet Inc 0.44% 安華高科技 Broadcom Ltd 0.42% VISA 卡 Visa 0.37% 摩根大通 JPMorgan Chase 0.37% 友邦保險控股 AIA Group Ltd 0.37% 72.39% 3.05% 24.56%
環發 退休基金 Pension Fund International Opportunities 01.06.2010 中至高 Medium to high 環發 退休基金將分散投資於環球股票及債券, 目標是為參與法人 參與人和供款人之供款謀求長遠的資本增值 本基金適合一些願意承受重大風險的投資者以獲取較高的長期回報 ( 中至高 ) 基本資產的策略性配置為 : 股票 67%; 債券 28%; 流動資產 5% 詳情請參閱基金管理規章 The objective of the Fund, in a long-term perspective, is to maximize the valorization of the contributions of sponsors, members and contributors by investing in a diversified portfolio of global shares and bonds. The Fund is suitable for investors willing to accept significant risk in order to achieve higher long-term returns (medium to high risk profile). Fund assets strategic allocation is: Shares 67%; Bonds 28%; Liquidity 5%. For details, please refer to the Fund s Management Regulation. 9.84% 3.42% 2.50% 9.84% 1.65% 18.99% 8.54% 32.73% -9.86% 12.02 12.48 12.81 12.85 13.11 12.74 13.23 --- --- --- --- --- --- 亞馬遜公司 Amazon.com Inc 2.19% Facebook 公司 Facebook Inc 1.72% 微軟 Microsoft Corp 1.42% 萬事達卡 Mastercard Inc 1.19% 台積電 Taiwan Semiconductor Manufacturing Co Ltd 1.19% Alphabet 公司 Alphabet Inc 1.07% 安華高科技 Broadcom Ltd 1.01% VISA 卡 Visa 0.89% 摩根大通 JPMorgan Chase 0.89% 友邦保險控股 AIA Group Ltd 0.89% 37.94% 59.27% 2.79%
創華 退休基金 Pension Fund Greater China Opportunities 01.06.2010 高 High 創華 退休基金將分散投資於在大中華地區有重大資產 投資 生產活動或其他商業利益的公司或機構, 目標是為參與法人 參與人和供款人之供款謀求長遠的資本增值 本基金適合一些願意承受重大風險的投資者並相信獲取最高長期回報比保障本金重要 這些投資者可能會遭遇巨大的波動及重大損失 ( 高 ) 基本資產的策略性配置為 : 股票 67%; 債券 28%; 流動資產 5% 詳情請參閱基金管理規章 The objective of the Fund, in a long-term perspective, is to maximize the valorization of the contributions of sponsors, members and contributors, through investments in companies and other entities with significant assets, investments, production activities or other business interests in the Greater China region. The Fund is suitable for investors willing to accept substantial risk believing that maximizing long term returns are more important than protecting principal. These investors may endure extensive volatility and significant losses (high risk profile). Fund assets strategic allocation is: Shares 67%; Bonds 28%; Liquidity 5%. For details, please refer to the Fund s Management Regulation. 15.25% 4.68% 2.56% 15.25% 0.79% 35.99% 30.95% 33.82% -% 11.55 12.22 12.74 12.95 13.41 12.69 13.34 --- --- --- --- --- --- 學而思培優 TAL Education 5.52% 騰訊控股有限公司 Tencent Holdings Ltd 5.51% 阿里巴巴 Alibaba Group Holding-Sp ADRs 5.46% 平安保險 -H Ping An Insurance Group of China 4.80% 貴州茅台酒公司 Kwaichow Moutai CO LTD A 2.83% 招商銀行 China Merchants Bank 2.55% 深圳國際控股 Shenzhen International Holdings 1.79% 五糧液 Wuliangye Yibin Co Ltd A 1.68% 網易 Netease INC-ADR 1.63% 頤海國際 Yihai International Holding 1.63% 37.00% 59.53% 3.47%
創機 退休基金 Pension Fund Emerging Markets Opportunities 01.06.2010 高 High 創機 退休基金將分散投資於在發展中國家有重大資產 投資 生產活動或其他商業利益的公司或機構, 目標是為參與法人 參與人和供款人之供款謀求長遠的資本增值 本基金適合一些願意承受重大風險的投資者並相信獲取最高長期回報比保障本金重要 這些投資者可能會遭遇巨大的波動及重大損失 ( 高 ) 基本資產的策略性配置為 : 股票 67%; 債券 28%; 流動資產 5% 詳情請參閱基金管理規章 The objective of the Fund, in a long-term perspective, is to maximize the valorization of the contributions of sponsors, members and contributors, through investments in companies and other entities with significant assets, investments, production activities or other business interests in developing countries, being considered as emerging markets of superior growth prospectus. The Fund is suitable for investors willing to accept substantial risk believing that maximizing long term returns are more important than protecting principal. These investors may endure extensive volatility and significant losses (high risk profile). Fund assets strategic allocation is: Shares 67%; Bonds 28%; Liquidity 5%. For details, please refer to the Fund s Management Regulation. 9.42% 4.42% 1.24% 9.42% 2.33% 30.72% 8.78% 8.45% -9.88% 9.86 10.49 10.67 10.63 10.85 10.31 10.81 --- --- --- --- --- --- 12.20 11.70 11.20 10.70 10.20 9.70 9.20 8.70 8.20 7.70 7.20 台積電 Taiwan Semiconductor Manufacturing 4.96% 阿里巴巴 Alibaba Group Holding-Sp ADRs 4.82% 三星電子 Samsung Electronics 4.01% 納斯帕斯 Naspers 3.48% 巴西布拉德斯科銀行 Banco Bradesco 3.23% 騰訊控股有限公司 Tencent Holdings Ltd 2.86% 平安保險 -H Ping An Insurance Group of China 2.85% 俄羅斯聯邦儲蓄銀行 Sberbank of Russia 2.48% 學而思培優 TAL Education 2.38% HDFC 銀行 HDFC Bank 2.33% 32.74% 64.64% 2.62%