Constituent Fund information
Repository of MPF Scheme Documents
Key Information of Constituent Fund | |
Basic Information | |
Name of MPF trustee | |
Name of MPF scheme | |
Name of the constituent fund |
Allianz Stable Growth Fund
|
Fund Class |
Class T
|
Fund Type |
Mixed Assets Fund - 41% to 60% Equity
|
Fund Type - Full Descriptor |
Mixed Assets Fund - Global – Maximum equity 60%
|
Fund size (HKD Million) |
411.22 (as at 31 October 2024)
|
Launch Date |
8 Dec 2000
|
Financial Period End Date |
30 Jun
|
Fund Performance & Risk | |
Annualized Return / Cumulative Return (1 Year) (as at 31 October 2024) |
+15.06% p.a.
/ +15.06%
|
Annualized Return / Cumulative Return (5 Year) (as at 31 October 2024) |
+2.24% p.a.
/ +11.72%
|
Annualized Return / Cumulative Return (10 Year) (as at 31 October 2024) |
+2.45% p.a.
/ +27.36%
|
Annualized Return / Cumulative Return (Since Launch) (as at 31 October 2024) |
+3.98% p.a.
/ +154.05%
|
Calendar year return: 2023 |
4.91
|
Calendar year return: 2022 |
-15.49
|
Calendar year return: 2021 |
0.17
|
Calendar year return: 2020 |
15.37
|
Calendar year return: 2019 |
11.37
|
Risk Class |
5
|
Fund Risk Indicator |
10.55%
|
Fund Expense & Other Expenses | |
Latest FER |
1.24%
|
Management Fee | Up to 1.15% p.a. |
Administration Fee or eMPF Platform Fee/Trustee Fee/ Custodian Fee |
Up to 0.5% p.a.
|
Sponsor Fee |
0.2% p.a.
|
Investment Management Fee |
0.45% p.a.
|
Guarantee Charge |
0% p.a.
|
Joining Fee |
Employer: up to HKD50,000 *
Self-employed person: up to HKD5,000 * * Subject to the discretion of the trustee/sponsor to waive from time to time. |
Annual Fee |
0%
|
Contribution Charge |
0%
|
Bid Spread |
0%
|
Offer Spread |
0%
|
Withdrawal Charge |
0%
|
Other Expenses |
A range of other expenses may be chargeable to the fund. Please refer to the Fee Table of the fund for details.
|
On-going Cost Illustration (OCI) – 1 Year |
HKD 13
|
On-going Cost Illustration (OCI) – 3 Year |
HKD 41
|
On-going Cost Illustration (OCI) – 5 Year |
HKD 70
|