Fund Information
                                                               
                                                               
                                                              BCT (Pro) Global Equity Fund1
                                                              Fund Price (HKD)(18 Jul 2025)4.9884
                                                              Daily Change^0.05%
                                                              Fund CategoryEquity Funds
                                                              Risk & Return Level*Medium to High
                                                              4
                                                              Fact Sheet
                                                              (Full Version)
                                                              Fund Price
                                                              Use wider screen to check the fund tracking
                                                              Return % as at 30 Jun 2025
                                                              Year to DateYear to Date
                                                              8.50
                                                              1 Monthmth
                                                              4.18
                                                              3 Months mths
                                                              11.19
                                                              1 Year
                                                              12.63
                                                              3 Years yrs
                                                              49.41
                                                              5 Yearsyrs
                                                              73.04
                                                              10 Years yrs
                                                              90.08
                                                              Since Inception
                                                              394.25
                                                              2024
                                                              15.21
                                                              2023
                                                              19.00
                                                              2022
                                                              -19.49
                                                              2021
                                                              17.16
                                                              2020
                                                              12.48
                                                              Constituent Fund Information as at 31 Mar 2025
                                                              Launch Date
                                                              01 Oct 2002
                                                              Fund Size
                                                              HKD 5,629.5 million
                                                              Fund Descriptor
                                                              Equity Fund [ Global ]
                                                              Fund Expense Ratio~
                                                              Please refer to fact sheet attached above
                                                              Risk Indicator as at 31 Mar 2025
                                                              Annualised Standard Deviation+
                                                              15.48%
                                                              Risk Class^^
                                                              6
                                                              Investment Objective
                                                              • To provide members with capital growth over the medium to longer term
                                                              • A portfolio of underlying Approved Pooled Investment Funds invests mainly into global equity markets
                                                              • The constituent fund utilizes both active investment strategy and rule-based investment strategy
                                                              Investment Manager
                                                              • Amundi Hong Kong Limited
                                                              * Risk & Return Level
                                                              5 High The constituent fund aims at achieving a high long-term return among constituent funds available under BCT (MPF) Pro Choice; its volatility is expected to be high.
                                                              4 Medium to High The constituent fund aims at achieving a medium to high long-term return among constituent funds available under BCT (MPF) Pro Choice; its volatility is expected to be medium to high.
                                                              3 Medium The constituent fund aims at achieving a medium long-term return among constituent funds available under BCT (MPF) Pro Choice; its volatility is expected to be medium.
                                                              2 Low to Medium The constituent fund has a low to medium expected long-term return among constituent funds available under BCT (MPF) Pro Choice; its volatility is expected to be low to medium.
                                                              1 Low The constituent fund has a low expected long-term return among constituent funds available under BCT (MPF) Pro Choice; its volatility is expected to be low.

                                                              The Risk & Return Level for each constituent fund is assigned by BCT and subject to review at least annually. It is based on the corresponding constituent fund’s volatility and expected return and is provided for reference only.

                                                              Performance figures will be available after a 6-month track record has been attained.

                                                              Investment involves risk. Past performance is not indicative of future performance. Members should refer to the MPF Scheme Brochure for the BCT (MPF) Pro Choice for further details, including the risk factors and detailed investment policies of the constituent funds.

                                                              1Due to the restructuring of BCT (MPF) Pro Choice with effect from 23 April 2018, the structure and investment policies of this constituent fund have been changed since the said date. Please refer to the MPF Scheme Brochure for BCT (MPF) Pro Choice for further details of the changed structure and investment policies.
                                                              ^

                                                              Daily Change refers to the percentage change of unit price of the constituent fund as at the valuation date shown against the previous valuation date.

                                                              Ø

                                                              Percentage Change is calculated on the basis of NAV-to-NAV in HK$ and is net of the management fees and operating expenses during the selected period except Asian Income Retirement Fund (where applicable). For Asian Income Retirement Fund, its percentage change is calculated on the basis of NAV-to-NAV in HK$ without dividend reinvested and is net of management fees and operating expenses during the selected period.

                                                              +

                                                              Constituent Fund with performance history of less than 3 years since inception to the reporting date of the fund fact sheet is not required to show the annualised standard deviation.

                                                              ~

                                                              It is not necessary to show the Fund Expense Ratio as the period between the reporting date of the fund fact sheet and the inception date for the constituent fund is less than 2 years.

                                                              ^^

                                                              The risk class is assigned to the constituent fund according to the seven-point risk classification stated in the table below, which is derived based on the latest fund risk indicator - annualised standard deviation of the constituent fund.

                                                              Risk Class Fund Risk Indicator - Annualised Standard Deviation
                                                              Equal or above Less than
                                                               1  0.0%  0.5%
                                                               2  0.5%  2.0%
                                                               3  2.0%  5.0%
                                                               4  5.0%  10.0%
                                                               5  10.0%  15.0%
                                                               6  15.0%  25.0%
                                                               7  25.0%  
                                                              (i) the risk class is prescribed by the Mandatory Provident Fund Schemes Authority according to the Code on Disclosure for MPF Investment Funds; and (ii) the risk class has not been reviewed or endorsed by the Securities and Futures Commission.
                                                              Source: "BCT" - Bank Consortium Trust Company Limited
                                                              - BCT Financial Limited