Funds Dollar Velocity Global Payout Fund

Dollar Velocity Global Payout Fund

The Fund aims to provide regular payouts through investments in global equities and global fixed income

Fund Facts as of 30 November 2024

Currency

USD

Dealing Schedule

Daily

Fund Manager

FWD Life Insurance Corporation

Initial Price Inception

USD 100

Risk Profile

Moderate

Net Asset Value

$ 5M

Current Fund Performance

Date

January 17, 2025

Unit Price

$ 108.07423

vs January 16: $ 107.88747

Historical Fund Performance Chart

to

As of 30 November 2024

1 Month Ago

3 Months Ago

1 Year Ago

Since Inception

Fund's Return

1.08%

0.86%

9.36%

6.51%

Annualized

Where the Funds are Invested (30 November 2024)

Top Security Holdings

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

20%

2

iShares Fallen Angels High Yield Corp Bonds UCITS ETF

Global Bonds

40%

3

HSBC Global Investment Funds - Global High Income Bond

Global Bonds

40%

4

Cash and Cash Equivalent

Cash and Cash Equivalent

0%

Asset Allocation Chart

The Asset Allocation Chart shows the assets your fund is currently invested in.

Global Equities - 20%

HSBC MSCI World UCITS ETF - 20%

Global Bonds - 80%

iShares Fallen Angels High Yield Corp Bonds UCITS ETF - 40%

HSBC Global Investment Funds - Global High Income Bond - 40%

Cash and Cash Equivalents - 0%

Top Countries

Countries

United States

50.02 %

France

6.57%

Britain

6.08%

Netherlands

4.54%

Italy

3.73%

Canada

2.75%

Germany

2.75%

Ireland

2.66%

Spain

1.09%

Others

19.82%

Payout History

Declaration Date

Payout Amount Per Unit

NAVPU as of Launch Date

Annualized Rate ( NAVPU as of Launch Date)

10/08/2022

$0.75

100

3.00%

10/11/2022

$0.75

100

3.00%

10/02/2023

$0.75

100

3.00%

10/05/2023

$0.75

100

3.00%

10/08/2023

$0.75

100

3.00%

10/11/2023

$0.75

100

3.00%

10/02/2024

$0.75

100

3.00%

10/05/2024

$0.75

100

3.00%

10/08/2024

$0.75

100

3.00%

10/11/2024

$0.75

100

3.00%

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