The Fund aims to provide regular payouts through investments in global equities and global fixed income
USD
Daily
FWD Life Insurance Corporation
USD 100
Moderate
$ 4M
vs November 19: $ 113.04424
|
As of 31 August 2025 |
1 Month Ago |
3 Months Ago |
1 Year Ago |
Since Inception |
|
Fund's Return (Including Payouts) |
1.14% |
3.89% |
6.03% |
6.61% Annualized |
The Top Security Holdings Table shows the underlying investments of the fund, based on percent allocation.
Security |
Type |
% Held |
|
1 |
HSBC MSCI World UCITS ETF |
Global Equities |
21% |
2 |
iShares Fallen Angels High Yield Corp Bonds UCITS ETF |
Global Bonds |
36% |
3 |
HSBC Global Investment Funds - Global High Income Bond |
Global Bonds |
42% |
4 |
Cash and Cash Equivalent |
Cash and Cash Equivalent |
1% |
The Asset Allocation Chart shows the assets your fund is currently invested in.
Global Equities - 21%
HSBC MSCI World UCITS ETF - 21%
Global Bonds - 78%
iShares Fallen Angels High Yield Corp Bonds UCITS ETF - 36%
HSBC Global Investment Funds - Global High Income Bond - 42%
Cash and Cash Equivalents - 1%
United States
46.17%
France
7.44%
Britain
5.47%
Germany
4.12%
Ireland
3.03%
Canada
2.57%
Netherlands
2.51%
Italy
2.41%
Spain
1.62%
Others
24.66%
Declaration Date |
Payout Amount Per Unit |
NAVPU as of Launch Date |
Annualized Rate ( NAVPU as of Launch Date) |
08/10/2022 |
$0.75 |
100 |
3.00% |
11/10/2022 |
$0.75 |
100 |
3.00% |
02/10/2023 |
$0.75 |
100 |
3.00% |
05/10/2023 |
$0.75 |
100 |
3.00% |
08/10/2023 |
$0.75 |
100 |
3.00% |
11/10/2023 |
$0.75 |
100 |
3.00% |
02/10/2024 |
$0.75 |
100 |
3.00% |
05/10/2024 |
$0.75 |
100 |
3.00% |
08/10/2024 |
$0.75 |
100 |
3.00% |
11/10/2024 |
$0.75 |
100 |
3.00% |
02/10/2025 |
$0.75 |
100 |
3.00% |
05/10/2025 |
$0.75 |
100 |
3.00% |
08/10/2025 |
$0.75 |
100 |
3.00% |