The default return is based on the average of the 3-year annualized return of BCT’s constituent funds under respective risk category that matches the result of the questionnaire. If the result of the questionnaire is risk category 4, then the default return is the average of the 3-year annualized return of BCT’s constituent funds under risk category 4.


Projected retirement fund balance
Required retirement fund balance
BCT Financial Limited 銀聯金融有限公司