Source: HSBC Provident Fund Trustee (Hong Kong) Limited
The prices quoted and the other information shown are for reference only and are subject to change without notice.
The funds of SuperTrust were launched on 1 December 2000. The funds of SuperTrust Plus were launched on 1 December 2000 except Global Bond Fund, Flexi-Managed Fund, Stable Fund and Chinese Equity Fund which were launched on 8 October 2009. The funds of SimpleChoice were launched on 14 January 2008. The funds of ValueChoice were launched on 24 March 2011. The funds are all denominated in Hong Kong dollars. The unit prices are based on the net asset value of each constituent fund and quoted for indication only.
For SuperTrust and SuperTrust Plus, the joining fee, contribution charge and offer spread are currently waived. For SimpleChoice and ValueChoice, the joining fee, annual fee, contribution charge, offer spread, bid spread and withdrawal charge are not applicable.
Fees and charges of an MPF Conservative Fund can be deducted from either (i) the assets of the fund or (ii) members' account by way of unit deduction. This fund uses method (ii) and, therefore, its unit prices, net asset value (NAV) or fund performance quoted (except for the fund performance figures quoted in a Fund Fact Sheet) do not reflect the impact of fees and charges.
For more details on the funds, fees and charges and how these fees and charges may be altered in the future, please refer to the relevant 'Principal Brochure'.
Investment involves risks. Past performance is no guide to future performance. For further details including the product features and risks involved, please refer to the relevant 'Principal Brochure'.
Issued by HSBC Life (International) Limited. The Hongkong and Shanghai Banking Corporation Limited is the appointed insurance agent and MPF corporate intermediary of HSBC Life (International) Limited through whom MPF products and services are provided. HSBC Life (International) Limited is a wholly-owned subsidiary of The Hongkong and Shanghai Banking Corporation Limited.