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                                                          Remarks for Daily Change, Percentage Change (ORSO)

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

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                                                          Percentage Change is calculated on the basis of NAV-to-NAV in HK$ with dividend reinvested and is net of the management fees and operating expenses during the selected period.

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                                                          Portfolio 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.

                                                           

                                                           

                                                          Notes of BCT (MPF) Pro Choice

                                                          • You should consider your own risk tolerance level and financial circumstances before making any investment choices. When, in your selection of funds, you are in doubt as to whether a certain fund is suitable for you (including whether it is consistent with your investment objectives), you should seek financial and / or professional advice and choose the fund(s) most suitable for you taking into account your circumstances.
                                                          • Your investment decision should not be based on the information shown on this website alone. Please read the principal brochure of BCT (MPF) Pro Choice for further details, including the risk factors.
                                                          • BCT (Pro) MPF Conservative Fund does not guarantee the repayment of capital.

                                                          Risk & Return Level - BCT (MPF) Industry Choice

                                                          * Risk & Return Level
                                                          5 High The constituent fund aims at achieving a high long-term return among constituent funds available under BCT (MPF) Industry 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) Industry 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) Industry 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) Industry 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) Industry 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.

                                                          Extra Remark B

                                                          All performance figures above are calculated on the basis of NAV-to-NAV in HK$ with dividend reinvested and is net of the management fees and operating expenses.

                                                          Risk & Return Level - For BCT Premier Pooled ORSO Retirement Plan

                                                          * Risk & Return Level
                                                          5 High The portfolio aims at achieving a high long-term return among portfolios available under BCT Premier Pooled ORSO Retirement Plan; its volatility is expected to be high.
                                                          4 Medium to High The portfolio aims at achieving a medium to high long-term return among portfolios available under BCT Premier Pooled ORSO Retirement Plan; its volatility is expected to be medium to high.
                                                          3 Medium The portfolio aims at achieving a medium long-term return among portfolios available under BCT Premier Pooled ORSO Retirement Plan; its volatility is expected to be medium.
                                                          2 Low to Medium The portfolio has a low to medium expected long-term return among portfolios available under BCT Premier Pooled ORSO Retirement Plan; its volatility is expected to be low to medium.
                                                          1 Low The portfolio has a low expected long-term return among portfolios available under BCT Premier Pooled ORSO Retirement Plan; its volatility is expected to be low.

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

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