Fund Information
                                                               
                                                               

                                                              BCT Promotes Digitalisation and Shares Market Outlook in Media Briefing

                                                              Media Briefing Mar2021

                                                              Ms. Ka Shi Lau together with Mr. Bob Lee, shared statistics of the MPF simulation game, “BCT AllianceMPF Game” and the investment outlook for 2021.

                                                               

                                                              COVID-19 has accelerated the digitalisation progress across industries and the MPF space is no exception. BCT Group upholds sustainability in promoting digitalisation and innovation to create value for customers. In view of Hongkongers' general disregard for their MPF accounts, BCT Group has rolled out the first MPF simulation game, the "BCT Alliance • MPF Game"1, in Hong Kong from August to December last year to raise public awareness of MPF, as well as help scheme members take advantage of e-tools to manage their MPF and establish good investment habits. The game attracted a total of 4,000 participants, with an average return of 14%. Only 2% of participants consistently completed all e-tasks throughout. Participants who have continued reviewing market outlook and switching funds appropriately achieved better investment returns.

                                                              Despite disappointing usage of e-tools, professional and reliable information is helpful in choosing funds

                                                              The "BCT Alliance • MPF Game" had "e-tasks" designed to encourage participants to review their market outlook and e-statements on a monthly basis, as well as complete "BCT iPortfolio" 2 for extra scores. Only 2% of participants completed all the e-tasks, reflecting a low level of public interest in consistently using e-tools to manage MPF.

                                                              30% of participants kept track of the market outlook every month, making it the most performed task among all three "e-tasks". The average return of these players was 15%, slightly higher than that of all participants (14%). Another 20% completed "BCT iPortfolio", in which 80% of them had a risk level in the risk assessment questionnaire, similar to the risk-weighted level of their portfolio. This proves that "BCT iPortfolio" plays a positive role in helping participants choose funds.

                                                              While equity funds are popular, switching funds appropriately can achieve a better return

                                                              Equity funds were sought after by most of the participants of the game in order as follows: China and Hong Kong Equity Funds, Global Equity Funds and World Equity Funds. It is worth noting that the number of fund switches has an impact on returns. 35% of all players switched funds 1 to 3 times during the game. They achieved a higher-than-average return of 15% or above, which was much higher than that of those who switched funds 4 times or more. This suggests that timely portfolio adjustments are beneficial to boosting returns while focusing too much on short-term volatility and frequent fund switching may backfire.

                                                              Ms. Ka Shi Lau, Managing Director & CEO of BCT Group, said, "The 'BCT Alliance • MPF Game' is an important step for us to promote investor education and encourage the public to actively manage their MPF with e-tools. When it comes to MPF management, Hongkongers generally either pay little attention to it, or they start off with a bang but gradually end up with a whimper. So, in order to build a sustainable future, we will continue to provide timely investment information and investor education, as well as a diversified range of simple and easy-to-use e- tools to make MPF management easier, faster and more precise. Meanwhile, we will prepare ourselves for the eMPF to embrace a new digital era of MPF together with employers and members."

                                                              Asia and emerging markets to lead global economic recovery

                                                              Regarding the global investment outlook for 2021, Mr. Bob Lee, Chief Business Officer of BCT Group, stated, "The current full-scale mass production of COVID-19 vaccines can conduce to the recovery of global real economy. Geographically, we are optimistic about Chinese, Asian and Japanese equity markets. With the spread of coronavirus better contained, the recovery in Asia is likely to lead the European and American markets. A weaker U.S. dollar will also have a positive stimulus effect on the asset performance of emerging markets. Besides, the favourable policies rolled out by governments and central banks will continue to support risky assets. Yet credit is preferred to government bonds. Amid multiple market focuses, members should manage their risks better to strive for success while maintaining stability."

                                                               

                                                               

                                                              1. Each participant of the "BCT Alliance•MPF Game" start off with virtual MPF assets of HK$200,000 in his/her game account and is given virtual MPF contributions of HK$5,000 each month between September and December under the "Default Investment Strategy (DIS)". Participants are then free to change their investment instructions to invest their funds and contributions in any constituent funds under the available MPF scheme in the game. In addition to MPF investments, participants are required to perform "e-tasks" during the game period, including (1) completion of "BCT iPortfolio", (2) review of monthly e-statements and (3) review of monthly market outlook. The total score is calculated based on the investment return (70%) and e-task score (30%).

                                                              2. "BCT iPortfolio" provides market risks and fund performance data over the past 8 years. Market views are updated with the help of fund managers on a regular basis to reflect market changes of various types of assets. It also performs return optimisation calculation through computer systems to construct simulated global investment allocation portfolios of different risk levels for investors' reference when selecting funds. When members complete the risk assessment questionnaire, "BCT iPortfolio" will show model portfolios suited to their different risk levels to help them make informed investment decisions.


                                                              Fund Range

                                                              Our MPF Investment Schemes

                                                              We offer two different MPF schemes: BCT (MPF) Pro Choice, a master trust scheme and BCT (MPF) Industry Choice, an industry scheme to cater to different employees in Hong Kong.

                                                              Our master trust scheme is aimed towards the general working population while our industry scheme is designed for those working in the catering and construction industries. We strive to be the provider of choice, so our MPF constituent funds available under the 2 MPF schemes are managed by seven independent global investment managers which are selected based on stringent criteria and our members’ interests in mind.

                                                              Name of Constituent FundInvestment Manager
                                                              Equity Funds  
                                                              BCT (Pro) China and Hong Kong Equity Fund Amundi Hong Kong Limited
                                                              BCT (Pro) Asian Equity Fund Amundi Hong Kong Limited
                                                              BCT (Pro) European Equity Fund Amundi Hong Kong Limited
                                                              BCT (Pro) Global Equity Fund Amundi Hong Kong Limited
                                                              Equity Funds – Market Tracking Series  
                                                              BCT (Pro) Hang Seng Index Tracking Fund Invesco Hong Kong Limited
                                                              BCT (Pro) U.S. Equity Fund Amundi Hong Kong Limited
                                                              BCT (Pro) Greater China Equity Fund CSOP Asset Management Limited
                                                              BCT (Pro) World Equity Fund Amundi Hong Kong Limited
                                                              Target Date Mixed Asset Funds  
                                                              BCT (Pro) SaveEasy 2050 Fund FIL Investment Management (Hong Kong) Limited
                                                              BCT (Pro) SaveEasy 2045 Fund FIL Investment Management (Hong Kong) Limited
                                                              BCT (Pro) SaveEasy 2040 Fund FIL Investment Management (Hong Kong) Limited
                                                              BCT (Pro) SaveEasy 2035 Fund FIL Investment Management (Hong Kong) Limited
                                                              BCT (Pro) SaveEasy 2030 Fund FIL Investment Management (Hong Kong) Limited
                                                              BCT (Pro) SaveEasy 2025 Fund FIL Investment Management (Hong Kong) Limited
                                                              Mixed Asset Funds  
                                                              BCT (Pro) E90 Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT (Pro) E70 Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT (Pro) E50 Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT (Pro) E30 Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT (Pro) Flexi Mixed Asset Fund Allianz Global Investors Asia Pacific Limited
                                                              BCT (Pro) Core Accumulation Fund* Invesco Hong Kong Limited
                                                              BCT (Pro) Age 65 Plus Fund* Invesco Hong Kong Limited
                                                              BCT (Pro) Asian Income Retirement Fund Taikang Asset Management (Hong Kong) Company Limited
                                                              Bond / Money Market Funds  
                                                              BCT (Pro) RMB Bond Fund Invesco Hong Kong Limited
                                                              BCT (Pro) Global Bond Fund Amundi Hong Kong Limited
                                                              BCT (Pro) Hong Kong Dollar Bond Fund JPMorgan Funds (Asia) Limited
                                                              BCT (Pro) MPF Conservative Fund Invesco Hong Kong Limited
                                                              * DIS Funds

                                                              Management Fees

                                                              Name of Constituent FundManagement Fees1
                                                              (% per annum of net asset value)
                                                              Equity Funds
                                                              BCT (Pro) China and Hong Kong Equity Fund 1.43%
                                                              BCT (Pro) Asian Equity Fund 1.50%
                                                              BCT (Pro) European Equity Fund 1.50%
                                                              BCT (Pro) Global Equity Fund 1.44%
                                                              Equity Funds – Market Tracking Series
                                                              BCT (Pro) Hang Seng Index Tracking Fund 0.73% - 0.79%2
                                                              BCT (Pro) U.S. Equity Fund up to 0.99%
                                                              BCT (Pro) Greater China Equity Fund up to 0.99%
                                                              BCT (Pro) World Equity Fund up to 0.99%
                                                              Target Date Mixed Asset Funds
                                                              BCT (Pro) SaveEasy 2050 Fund up to 1.45%3
                                                              BCT (Pro) SaveEasy 2045 Fund up to 1.45%3
                                                              BCT (Pro) SaveEasy 2040 Fund up to 1.45%3
                                                              BCT (Pro) SaveEasy 2035 Fund up to 1.45%3
                                                              BCT (Pro) SaveEasy 2030 Fund up to 1.20%3
                                                              BCT (Pro) SaveEasy 2025 Fund up to 1.20%3
                                                              Mixed Asset Funds
                                                              BCT (Pro) E90 Mixed Asset Fund 1.44%
                                                              BCT (Pro) E70 Mixed Asset Fund 1.44%
                                                              BCT (Pro) E50 Mixed Asset Fund 1.44%
                                                              BCT (Pro) E30 Mixed Asset Fund 1.44%
                                                              BCT (Pro) Flexi Mixed Asset Fund Up to 1.32%
                                                              BCT (Pro) Core Accumulation Fund* 0.75%
                                                              BCT (Pro) Age 65 Plus Fund* 0.75%
                                                              BCT (Pro) Asian Income Retirement Fund#^ Up to 1.288%
                                                              Bond / Money Market Funds
                                                              BCT (Pro) RMB Bond Fund 1.175%
                                                              BCT (Pro) Global Bond Fund 1.40%
                                                              BCT (Pro) Hong Kong Dollar Bond Fund 0.9995%
                                                              BCT (Pro) MPF Conservative Fund 0.88%
                                                              * DIS Funds
                                                              1 "Management fees" include trustee, custodian, administrator, investment manager and sponsor of a scheme for providing their services to the relevant funds. They are usually charged as a percentage of the net asset value of a fund. In the case of the Core Accumulation Fund and the Age 65 Plus Fund, management fees payable to the parties named above, or their delegates, can only (subject to certain exceptions in the Mandatory Provident Fund Schemes Ordinance) be charged as a percentage of the net asset value of the DIS Fund. These management fees are also subject to a statutory daily limit equivalent to 0.75% per annum of the net asset value of the DIS Fund which applies across both the DIS Fund and its underlying funds.
                                                              2 A fixed investment management fee of up to HK$75,000 per month is charged and paid out of the assets of the BCT (Pro) Hang Seng Index Tracking Fund. The fee is payable on a monthly basis and accrues daily pro-rata to the number of days in a month. The fee is payable to Invesco as the investment manager of the BCT (Pro) Hang Seng Index Tracking Fund for its investment management services including, but not limited to, investing all member and employer contributions to the BCT (Pro) Hang Seng Index Tracking Fund according to the applicable investment guidelines, and the acquisition and disposal of units in the underlying ITCIS.
                                                              3 The fee shall be reduced to 1.20% five years prior to reaching the beginning (i.e. 1 January) of the applicable target year.

                                                              Our MPF Investment Schemes

                                                              We offer two different MPF schemes: BCT (MPF) Pro Choice, a master trust scheme and BCT (MPF) Industry Choice, an industry scheme to cater to different employees in Hong Kong.

                                                              Our master trust scheme is aimed towards the general working population while our industry scheme is designed for those working in the catering and construction industries. We strive to be the provider of choice, so our MPF constituent funds available under the 2 MPF schemes are managed by seven independent global investment managers which are carefully selected based on stringent criteria and our members' interests in mind.

                                                              Name of Constituent FundInvestment Manager
                                                              Equity Funds  
                                                              BCT (Industry) China and Hong Kong Equity Fund Amundi Hong Kong Limited
                                                              BCT (Industry) Asian Equity Fund Amundi Hong Kong Limited
                                                              BCT (Industry) Global Equity Fund Amundi Hong Kong Limited
                                                              Mixed Asset Funds  
                                                              BCT (Industry) E70 Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT (Industry) E50 Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT (Industry) E30 Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT (Industry) Flexi Mixed Asset Fund Allianz Global Investors Asia Pacific Limited
                                                              BCT (Industry) Core Accumulation Fund* Invesco Hong Kong Limited
                                                              BCT (Industry) Age 65 Plus Fund* Invesco Hong Kong Limited
                                                              Bond / Money Market Funds  
                                                              BCT (Industry) RMB Bond Fund Invesco Hong Kong Limited
                                                              BCT (Industry) Global Bond Fund Amundi Hong Kong Limited
                                                              BCT (Industry) MPF Conservative Fund Invesco Hong Kong Limited
                                                              * DIS Funds

                                                              Management Fees

                                                              Name of Constituent FundManagement Fees1
                                                              (% per annum of net asset value)
                                                              Equity Funds  
                                                              BCT (Industry) China and Hong Kong Equity Fund Up to 1.52%
                                                              BCT (Industry) Asian Equity Fund Up to 1.60%
                                                              BCT (Industry) Global Equity Fund Up to 1.585%
                                                              Mixed Asset Funds  
                                                              BCT (Industry) E70 Mixed Asset Fund Up to 1.53%
                                                              BCT (Industry) E50 Mixed Asset Fund Up to 1.53%
                                                              BCT (Industry) E30 Mixed Asset Fund Up to 1.53%
                                                              BCT (Industry) Flexi Mixed Asset Fund up to 1.52%
                                                              BCT (Industry) Core Accumulation Fund* 0.75%
                                                              BCT (Industry) Age 65 Plus Fund* 0.75%
                                                              Bond / Money Market Funds  
                                                              BCT (Industry) RMB Bond Fund 1.175%
                                                              BCT (Industry) Global Bond Fund Up to 1.45%
                                                              BCT (Industry) MPF Conservative Fund 0.88%
                                                              * DIS Funds
                                                              1 “Management fees” include trustee, administration and custodian fee, sponsor fee and investment management fee paid to the trustee, administrator, custodian, sponsor and investment manager of a scheme for providing their services to the relevant fund. They are usually charged as a percentage of the net asset value of a fund. In the case of the Core Accumulation Fund and the Age 65 Plus Fund, management fees payable to the parties named above, or their delegates, can only (subject to certain exceptions in the Mandatory Provident Fund Schemes Ordinance) be charged as a percentage of the net asset value of the DIS Fund. These management fees are also subject to a statutory daily limit equivalent to 0.75% per annum of the net asset value of the DIS Fund which applies across both the DIS Fund and its underlying funds.

                                                              Pooled ORSO Retirement Plan

                                                              Let us help you get ready for retirement you deserve. The BCT Premier Pooled ORSO Retirement Plan is a pooled investment scheme which allows investors to plan for retirement by investing in a variety of different funds based on their own personal risk tolerances. Our funds are managed by independent fund management companies which have no ties to BCT by way of ownership, so members can be assured that we only have their best interests in mind.

                                                              Name of PortfoliosInvestment Manager / Guarantor
                                                              Equity Funds  
                                                              BCT ORSO China & HK Equity Fund Invesco Hong Kong Limited
                                                              BCT ORSO Global Emerging Markets Equity Fund Amundi Hong Kong Limited
                                                              BCT ORSO Asian Equity Fund Amundi Hong Kong Limited
                                                              BCT ORSO European Equity Fund Schroder Investment Management (Hong Kong) Limited^
                                                              BCT ORSO North American Equity Fund Schroder Investment Management (Hong Kong) Limited^
                                                              Equity Funds – Market Tracking Series  
                                                              BCT ORSO Hong Kong Equity Index Fund Amundi Hong Kong Limited
                                                              Mixed Asset Funds  
                                                              BCT ORSO Growth Fund Allianz Global Investors Asia Pacific Limited
                                                              BCT ORSO E90 Market Tracking Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT ORSO Balanced Fund Allianz Global Investors Asia Pacific Limited
                                                              BCT ORSO E70 Market Tracking Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT ORSO Stable Growth Fund Allianz Global Investors Asia Pacific Limited
                                                              BCT ORSO E50 Market Tracking Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT ORSO Capital Stable Fund Allianz Global Investors Asia Pacific Limited
                                                              BCT ORSO E30 Market Tracking Mixed Asset Fund Amundi Hong Kong Limited
                                                              BCT ORSO Asian Income Retirement Fund Taikang Asset Management (Hong Kong) Company Limited
                                                              Bond Fund  
                                                              BCT ORSO Global Bond Fund Amundi Hong Kong Limited
                                                              Money Market Fund  
                                                              BCT ORSO HK Dollar Cash Fund Allianz Global Investors Asia Pacific Limited
                                                              Guaranteed Fund  
                                                              BCT ORSO Guaranteed Fund China Life Insurance (Overseas) Company Limited

                                                               ^Schroders is the manager of the underlying Nominated Fund. As this Portfolio is a feeder fund structure, investment manager at portfolio level is not compulsory.


                                                              Management Fees

                                                              Name of PortfoliosManagement Fees1
                                                              (% per annum of net asset value)
                                                              Equity Funds  
                                                              BCT ORSO China & HK Equity Fund 1.00%
                                                              BCT ORSO Global Emerging Markets Equity Fund 1.37%
                                                              BCT ORSO Asian Equity Fund 1.40%
                                                              BCT ORSO European Equity Fund Up to 0.98%
                                                              BCT ORSO North American Equity Fund Up to 0.98%
                                                              Equity Funds – Market Tracking Series  
                                                              BCT ORSO Hong Kong Equity Index Fund Up to 0.84%
                                                              Mixed Asset Funds  
                                                              BCT ORSO Growth Fund Up to 0.97%
                                                              BCT ORSO E90 Market Tracking Mixed Asset Fund Up to 0.95%
                                                              BCT ORSO Balanced Fund Up to 0.97%
                                                              BCT ORSO E70 Market Tracking Mixed Asset Fund Up to 0.95%
                                                              BCT ORSO Stable Growth Fund Up to 0.97%
                                                              BCT ORSO E50 Market Tracking Mixed Asset Fund Up to 0.95%
                                                              BCT ORSO Capital Stable Fund Up to 0.97%
                                                              BCT ORSO E30 Market Tracking Mixed Asset Fund Up to 0.95%
                                                              BCT ORSO Asian Income Retirement Fund#^ Up to 1.238%
                                                              Bond Fund  
                                                              BCT ORSO Global Bond Fund 1.10%
                                                              Money Market Fund  
                                                              BCT ORSO HK Dollar Cash Fund Up to 0.77%
                                                              Guaranteed Fund  
                                                              BCT ORSO Guaranteed Fund* 1.00%
                                                              1 “Management fees” means the total of sponsor, trustee and administration fee, investment management fee and sub-trustee fee (if applicable).
                                                              *China Life charges an investment charge which is payable to China Life in arrears at the end of each calendar year. In addition, the following may be deducted from the assets of the China Life Policy: guarantee charge, smoothing provisions, audit fees, legal fees, other disbursements and net investment returns of the China Life Policy. For the avoidance of doubt, the net investment return at the policy level is guaranteed by China Life at the Guaranteed Rate of Return and will not be reduced as a result of such fees or deductions.
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