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Valuation Date: 17/01/2025 Currency NAV Price
Strategic Growth Fund HKD 338.3100
Growth Fund HKD 207.7900
Balanced Fund HKD 434.6500
Stable Growth Fund HKD 22.7300
Capital Stable Fund HKD 166.8000
Global Bond Fund HKD 233.9400
HK$ Money Market Fund HKD 13.1800
Valuation Date: 17/01/2025 Currency NAV Price
Strategic Growth Fund HKD 387.0500
Growth Fund HKD 228.6900
Balanced Fund HKD 498.4100
Stable Growth Fund HKD 24.7700
Capital Stable Fund HKD 183.4200
Global Bond Fund HKD 268.9700
HK$ Money Market Fund HKD 14.9900

Source:  Bank Consortium Trust Company Limited

Investment involves risks.

Past performance is not indicative of future performance. Investors should read the relevant prospectus for details, including the product features and risk factors.