Fund Finder

Trade on POEMS to enjoy 0% Platform Fees, 0% Sales Charge, 0% Switching Fees!

Fund details

Manulife Glb Asset Alloc Gr A MDis SGD H (SG9999012355)

To achieve long term capital growth whilst also managing downside risk. The Fund aims to meet its objective by investing primarily in a managed portfolio of collective investment schemes (including exchange-traded funds (“ETFs”) and real estate investment trusts (“REITs”)) and cash. The Fund targets, at the end of each month, an asset allocation of up to 60% into schemes with underlying investments primarily in equities and REITs, if any. The rest of the assets of the Fund are invested into cash and schemes with underlying investments primarily in bonds and/or money market instruments.
Fund Information
  • Asset Class:Balanced
  • Sector:Diversified
  • Geography:Global
  • Benchmark index:Nil
  • Launch Date:09 Oct 2014
  • Launch Price:1
  • Fund Currency:SGD
  • Fund Source: CASH,SRS-IA
  • CPF Risk Classification:
  • Price Made Known On:T+2
  • Price Type:Net Asset Value
  • Dealing Cut Off Time:3:00PM Spore Time
Information
Cash CPFOA-IA CPFSA-IA SRS-IA
Minimum Investment AmountSGD 1000--SGD 1000
Minimum Subsequent InvestmentSGD 100--SGD 100
Minimum Redemption Amount ($)/unitsSGD 100--SGD 100
Relevant Charges
Cash CPFOA-IA CPFSA-IA SRS-IA
POEMS Sales Charge0%--0%
Internal Switch-in Charge/Min Switch-in Charge0.00 % / $ 0.00--0.00 % / $ 0.00
External Switch-in ChargeNA--NA
Redemption/Realisation ChargeNA--NA
Annual Management Fee1.35%--1.35%
Annual Trustee Fee--
Expense Ratio2.42%--2.42%
Fund Manager Sales ChargeNA--NA
Admin FeeNA--NA
Information
Period Performance (%) Volatility (%) Ratio
1 Year NA 6.73 NA
2 Years NA 9.22 NA
3 Years -6.61 14.10 -0.47
5 Years NA 20.00 NA
10 Years NA NA NA

The performance figures are calculated using NAV to NAV prices (before sales charge, if any) and does not take into account dividends, if any.

Information
Morningstar Ratings
Overall
3 Years
5 Years
10 Years

PERFORMANCE

PeriodPerformance (%)Volatility (%)Return/Volatility Ratio
YTD-1.93550.3203-6.04
1 Day-0.65361.062-0.62
1 Week-0.16420.9121-0.18
1 Month-0.81571.3941-0.59
3 Months-2.25082.5067-0.90
6 Months-0.81574.4682-0.18
1 Year-13.14296.733-1.95
2 Years-209.2226-2.17
3 Years-6.605214.1008-0.47
5 Years-29.137520.0024-1.46
10 Yearsnan

ANNUALIZED PERFORMANCE

PeriodPerformance (%)Volatility (%)Return/Volatility Ratio
1 YearNA6.733NA
2 YearsNA6.5214NA
3 Years-2.25218.1411-0.28
5 Years-6.65678.9453-0.74
10 YearsNA-1NA

The performance figures are calculated using NAV to NAV prices (before sales charge, if any) and does not take into account dividends, if any.

Dividend Information

Dividends shall be credited to your account about 10 working days from the 'Payment Date' seen below.

Ex Date Payment Date Dividend Payout per unit
16 Mar 202329 Mar 20230.002283000
16 Feb 20231 Mar 20230.002336000
17 Jan 20231 Feb 20230.002385000
16 Dec 202230 Dec 20220.002355000
16 Nov 202229 Nov 20220.002347000
18 Oct 20221 Nov 20220.002291000
16 Sep 202229 Sep 20220.002388000
16 Aug 202229 Aug 20220.002505000
18 Jul 202229 Jul 20220.002433000
16 Jun 202229 Jun 20220.002441000
18 May 202231 May 20220.002508000
19 Apr 20224 May 20220.002598000
16 Mar 202229 Mar 20220.002598000
16 Feb 20221 Mar 20220.002703000
18 Jan 202231 Jan 20220.002805000
16 Dec 202129 Dec 20210.002827000
16 Nov 202129 Nov 20210.002876000
18 Oct 202129 Oct 20210.002842000
16 Sep 202129 Sep 20210.002883000
17 Aug 202130 Aug 20210.002891000
16 Jul 202130 Jul 20210.002898000
16 Jun 202129 Jun 20210.002921000
18 May 20211 Jun 20210.002891000
16 Apr 202129 Apr 20210.002925000
16 Mar 202129 Mar 20210.002880000
16 Feb 20211 Mar 20210.002996000
18 Jan 202129 Jan 20210.002932000
16 Dec 202030 Dec 20200.002876000
17 Nov 202030 Nov 20200.002838000
16 Oct 202029 Oct 20200.002767000
16 Sep 202029 Sep 20200.002767000
18 Aug 202031 Aug 20200.002767000
16 Jul 202029 Jul 20200.002718000
16 Jun 202029 Jun 20200.002613000
18 May 20201 Jun 20200.002523000
16 Apr 202029 Apr 20200.002520000
17 Mar 202030 Mar 20200.002418000
18 Feb 20202 Mar 20200.002932000
16 Jan 202030 Jan 20200.002917000
17 Dec 201931 Dec 20190.002868000
18 Nov 201929 Nov 20190.002835000
16 Oct 201930 Oct 20190.002808000
17 Sep 201930 Sep 20190.002831000
16 Aug 201929 Aug 20190.002767000
16 Jul 201929 Jul 20190.002872000
18 Jun 20191 Jul 20190.002812000
16 May 201930 May 20190.002816000
16 Apr 201930 Apr 20190.002883000
18 Mar 201929 Mar 20190.002850000
18 Feb 20191 Mar 20190.002861000
16 Jan 201929 Jan 20190.004410000
18 Dec 20182 Jan 20190.004415000
16 Nov 201829 Nov 20180.004474000
16 Oct 201829 Oct 20180.004567000
18 Sep 20181 Oct 20180.004713000
16 Aug 201830 Aug 20180.004695000
17 Jul 201830 Jul 20180.004812000
19 Jun 20182 Jul 20180.004882000
16 May 201830 May 20180.004993000
17 Apr 201830 Apr 20180.005051000
16 Mar 201829 Mar 20180.005092000
19 Feb 20182 Mar 20180.005139000
16 Jan 201829 Jan 20180.005261000
18 Dec 20172 Jan 20180.005127000
16 Nov 201729 Nov 20170.005115000
17 Oct 201731 Oct 20170.005209000
18 Sep 201729 Sep 20170.005197000
16 Aug 201729 Aug 20170.005162000
18 Jul 201731 Jul 20170.005209000
16 Jun 201730 Jun 20170.005185000
16 May 201729 May 20170.005180000
18 Apr 20172 May 20170.005110000
16 Mar 201729 Mar 20170.005139000
16 Feb 20171 Mar 20170.005145000
17 Jan 201731 Jan 20170.005121000
16 Dec 201629 Dec 20160.005080000
16 Nov 201629 Nov 20160.005110000
18 Oct 201631 Oct 20160.005197000
16 Sep 201629 Sep 20160.005261000
16 Aug 201629 Aug 20160.005390000
18 Jul 201629 Jul 20160.005378000
16 Jun 201629 Jun 20160.005331000
17 May 201630 May 20160.005349000
18 Apr 201629 Apr 20160.005355000
16 Mar 201630 Mar 20160.005320000
16 Feb 201629 Feb 20160.005150000
18 Jan 201629 Jan 20160.005244000
16 Dec 201530 Dec 20150.005448000
17 Nov 201530 Nov 20150.005541000
16 Oct 201529 Oct 20150.005570000
16 Sep 201530 Sep 20150.005489000
18 Aug 201531 Aug 20150.005646000
16 Jul 201530 Jul 20150.005757000
16 Jun 201529 Jun 20150.005845000
18 May 201529 May 20150.005950000
16 Apr 201529 Apr 20150.006055000
17 Mar 201530 Mar 20150.005903000
17 Feb 2015-0.005897000
16 Jan 2015-0.005845000

Fund Name:Manulife Glb Asset Alloc Gr A MDis SGD H (SG9999012355)

  • Prospectusview
  • Product Highlights Sheetview
  • Semi-Annual / Annual Reportsview
  • FactSheetview
Manulife Investment Management (Singapore) Pte. Ltd.

Manulife Investment Management (Singapore) Pte. Ltd.

About Fund Manager

About Manulife Asset Management
Manulife Asset Management is the global asset management arm of Manulife, one of the world's leading financial services groups that traces its roots and investment management experience back to the 1800s.

Investment Capabilities
Manulife Asset Management provides comprehensive asset management solutions for pension plans, foundations, endowments, financial institutions and other institutional investors worldwide, as well as wealth management and retirement products. Our investment expertise extends across a broad range of asset classes, including equity, fixed income and private investments, as well as asset allocation strategies. Assets under management are approximately S$500 billion (US$ 358 billion) as of 31 March 2017.

We are uniquely placed with our private assets capabilities with over S$118 billion (US$85 billion) as of 31 March 2017 in private assets across 8 strategies including timberland, farmland, renewable energy, oil & gas, private equity & mezzanine, private placement debts, commercial mortgage loans, and real estate. Specifically, Manulife Asset Management is the world’s largest timberland investment manager for institutional investors.

Fund Name

CASH

CPF OA-IA

CPF SA-IA

SRS-IA

Min Initial Investment Require/Amount

1 Year Return

 

Manulife Glb Asset Alloc Gr A MDis SGD H (SG9999012355)

100(M)
250(Q)

(M)
(Q)

(M)
(Q)

100(M)
250(Q)

No

-

SUBSCRIBE