Important Notice

Manulife (International) Limited would like to alert customers to stay vigilant about suspicious phone calls, emails, websites, apps, etc. allegedly related to Manulife. If you receive any calls claiming to be from Manulife MPF, first and foremost is to authenticate the caller’s identity (e.g. full name of advisor and his/her MPF Registration No.). If the caller refuses to disclose such information, please do not continue with the conversation. Also, if you notice any suspicious transaction activities in your account, or any account that is under your name but not set up by you, please inform us immediately. If you are in doubt, please contact us at (852) 2108 1188 or by email at service_hk@manulife.com for assistance.

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Important Notice

Manulife (International) Limited would like to alert customers to stay vigilant about suspicious phone calls, emails, websites, apps, etc. allegedly related to Manulife. If you receive any calls claiming to be from Manulife MPF, first and foremost is to authenticate the caller’s identity (e.g. full name of advisor and his/her MPF Registration No.). If the caller refuses to disclose such information, please do not continue with the conversation. Also, if you notice any suspicious transaction activities in your account, or any account that is under your name but not set up by you, please inform us immediately. If you are in doubt, please contact us at (852) 2108 1188 or by email at service_hk@manulife.com for assistance.

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The risk class

Risk class 

A risk class is to be assigned to each constituent fund according to the seven-point risk classification below based on the latest risk indicator of the constituent fund. The risk class is prescribed by the Mandatory Provident Fund Schemes Authority (“MPFA”) according to the Code on Disclosure for MPF Investment Funds and the risk class has not been reviewed or endorsed by the Securities and Futures Commission (“SFC”).

Risk class 1 2 3 4 5 6 7
Risk indicator Equal or above 0.0% 0.5% 2.0% 5.0% 10.0%
15.0%
25.0%
Less than 0.5% 2.0% 5.0% 10.0%
15.0%
25.0%  
Risk Class Risk
Indicator
Equal or above  Less than
1 0.5% 0.5%
2 0.5% 2.0%
3 2.0% 5.0%
4 5.0%
10.0%
5 10.0% 15.0%
6 15.0% 25.0%
7 25.0%  

 

Risk class

 

A risk class is to be assigned to each constituent fund according to the seven-point risk classification below based on the latest risk indicator of the constituent fund. The Risk Indicator shows the annualized standard deviation based on the monthly rates of return of the fund over the past 3 years, and correct to 2 decimal places. Generally, the greater the annualized standard deviation, the more volatile/risky the constituent fund. The Risk Indicator for the constituent fund will be available 3 years after its launch date.

The risk class is prescribed by the Mandatory Provident Fund Schemes Authority (“MPFA”) according to the Code on Disclosure for MPF Investment Funds and the risk class has not been reviewed or endorsed by the Securities and Futures Commission (“SFC”).

 

Risk class 1 2 3 4 5 6 7
Risk indicator Equal or above 0.0%
0.5% 2.0% 5.0%
10.0% 15.0% 25.0%
Less than 0.5% 2.0% 5.0%
10.0%
15.0% 25.0%  
 
Risk class 1 2 3 4 5 6 7
Risk indicator Equal or above 0.0% 0.5% 2.0% 5.0% 10.0% 15.0% 25.0%
Risk class Risk
indicator
Equal or above  Less than
1 0.0% 0.5%
2 0.5% 2.0%
3 2.0% 5.0%
4 5.0% 10.0%
5 10.0% 15.0%
6 15.0% 25.0%
7 25.0%  

Unit prices may fall as well as rise. The figures are for reference only and past performance is not indicative of future performance. Investment involves risks. Please refer to the MPF Scheme Brochure and Key Scheme Information Document (KSID) for details including risk factors, fees and charges of the Scheme.

No information contained in this website should be relied upon as investment advice or regarded as a substitute for detailed investment advice in individual cases. We are not responsible for any loss occasioned as a result of relying on such information as investment advice.

Constituent fund performance is calculated on the basis of NAV (net asset value) -to-NAV in Hong Kong Dollar, without dividend reinvested, and is net of all charges. Cumulative performance, including the “Since Launch %” figures, is calculated based on the relevant constituent fund prices in their respective currency up to the “As Of Date”, or its preceding trading day if the “As Of Date” is not a trading day.

For a constituent fund with less than 5 calendar years’ history, performance of the inception year is calculated from its launch date to the inception year end.



Unit prices may fall as well as rise. The figures are for reference only and past performance is not indicative of future performance. Investment involves risks. Please refer to the MPF Scheme Brochure and Key Scheme Information Document (KSID) for details including risk factors, fees and charges of the Scheme.

No information contained in this website should be relied upon as investment advice or regarded as a substitute for detailed investment advice in individual cases. We are not responsible for any loss occasioned as a result of relying on such information as investment advice.

Constituent fund performance is calculated on the basis of NAV (net asset value) -to-NAV in Hong Kong Dollar, without dividend reinvested, and is net of all charges. Cumulative performance, including the “Since Launch %” figures, is calculated based on the relevant constituent fund prices in their respective currency up to the “As Of Date”, or its preceding trading day if the “As Of Date” is not a trading day.

For a constituent fund with less than 5 calendar years’ history, performance of the inception year is calculated from its launch date to the inception year end.



Unit prices may fall as well as rise. The figures are for reference only and past performance is not indicative of future performance. Investment involves risks. Please refer to the MPF Scheme Brochure and Key Scheme Information Document (KSID) for details including risk factors, fees and charges of the Scheme.

No information contained in this website should be relied upon as investment advice or regarded as a substitute for detailed investment advice in individual cases. We are not responsible for any loss occasioned as a result of relying on such information as investment advice.

Constituent fund performance is calculated on the basis of NAV (net asset value) -to-NAV in Hong Kong Dollar, without dividend reinvested, and is net of all charges.  Cumulative performance, including the “Since Launch %” figures, is calculated based on the relevant constituent fund prices in their respective currency up to the “As Of Date”, or its preceding trading day if the “As Of Date” is not a trading day.

For a constituent fund with less than 5 calendar years’ history, performance of the inception year is calculated from its launch date to the inception year end.



Source: Manulife Investment Management (Hong Kong) Limited

Unit prices may fall as well as rise. The figures are for reference only and past performance is not indicative of future performance. Investment involves risks. Please refer to the MPF Scheme Brochure and Key Scheme Information Document (KSID) for details including risk factors, fees and charges of the Scheme.

No information contained in this website should be relied upon as investment advice or regarded as a substitute for detailed investment advice or regarded as a substitute for detailed investment advice in individual cases. We are not responsible for any loss occasioned as a result of relying on such information as investment advice.

Constituent fund performance is calculated on the basis of NAV (net asset value) -to-NAV in Hong Kong Dollar, without dividend reinvested, and is net of all charges. Cumulative performance, including the “Since Launch %” figures, is calculated based on the relevant constituent fund prices in their respective currency up to the “As Of Date”, or its preceding trading day if the “As Of Date” is not a trading day.

The above chart is solely for your reference purpose. If you use the chart for price comparison, please note that only the “like-with-like” comparison is deemed relevant.

For a constituent fund with less than 5 calendar years’ history, performance of the inception year is calculated from its launch date to the inception year end.

For the past monthly declared interest rate of the Manulife MPF Interest Fund, please read the Monthly Fund Summary.



Source: Manulife Investment Management (Hong Kong) Limited

Unit prices may fall as well as rise. The figures are for reference only and past performance is not indicative of future performance. Investment involves risks. Please refer to the MPF Scheme Brochure for details including risk factors, fees and charges of the Scheme.

No information contained in this website should be relied upon as investment advice or regarded as a substitute for detailed investment advice or regarded as a substitute for detailed investment advice in individual cases. We are not responsible for any loss occasioned as a result of relying on such information as investment advice.



Source: Manulife Investment Management (Hong Kong) Limited.

Unit prices may fall as well as rise. The figures are for reference only and past performance is not indicative of future performance. Investment involves risks. Please refer to the MPF Scheme Brochure and Key Scheme Information Document (KSID) for details including risk factors, fees and charges of the Scheme.

No information contained in this website should be relied upon as investment advice or regarded as a substitute for detailed investment advice or regarded as a substitute for detailed investment advice in individual cases. We are not responsible for any loss occasioned as a result of relying on such information as investment advice.

The performance figures are calculated based on the relevant constituent fund prices  for the selected period up to the most recent trading day on the basis of NAV (net asset value) -to-NAV in Hong Kong Dollar, without dividend reinvested, and is net of all charges.

The above chart is solely for your reference purpose. If you use the chart for price comparison, please note that only the “like-with-like” comparison is deemed relevant.

For a constituent fund with less than 5 calendar years’ history, performance of the inception year is calculated from its launch date to the inception year end.

^^ “Top 10 portfolio holdings” lists out the largest 10 security holdings (i.e. not including cash and others) of the fund portfolio. The fund portfolio may have less than 10 security holdings.

# Due to rounding, the total may not be equal to 100%




Issued by Manulife (International) Limited (Incorporated in Bermuda with limited liability).