IMPORTANT NOTICE: Our Prudential Customer Service Centre on the 1st Floor of Marina One, East Tower will be opened by appointment only, from 2 June 2020. To ensure your safety, we have put safe management measures in place. For more information on COVID-19 relief measures please click here.

IMPORTANT NOTICE: Prudential announced the roll out of PRUCare Package to provide cash benefits for those quarantined or hospitalised due to the COVID-19, as well as aid for SMEs whose businesses are affected by the disease. Find out more

COVID-19 (CORONAVIRUS DISEASE 2019) Update: Our PRUPanel Connect Concierge services in Raffles Hospital and Mount Alvernia Hospital have also been temporarily suspended until further notice.

PRUACCESS: In accordance with PDPC's Advisory Guidelines on the PDPA for NRIC and other National Identification numbers, we will no longer be using NRIC/passport numbers/FIN for login purposes from 1 Aug 2019. If you have yet to create a user ID, please click here.

LIA Critical Illnesses (CI) Framework 2019 : In accordance to LIA Critical Illness (CI) Framework 2019, Prudential Singapore’s policies purchased from 20 August 2020 will adhere to the updated list of critical illnesses definitions. For more information, speak to your Prudential Financial Consultant today.

Fund Information

The investment objective of the PRUlink global managed fund is to achieve long term capital appreciation through investment directly or indirectly in quoted equities, bonds and other fixed income securities in global markets. The Fund will feed into the Schroder Multi-Asset Revolution, which wil invest in multiple asset classes and will be comprised of an actively managed basket of equities, fixed income, property and commodities related securities.

 

Launch Date 5 October 1998
Manager of the Fund Eastspring Investments (Singapore) Limited (formerly known as Prudential Asset Management (Singapore) Limited)
Underlying Fund Schroder Multi-Asset Revolution
Investment Manager of the Underlying Fund Schroder Investment Management (Singapore) Limited
Benchmark
  • 60% MSCI World Index
  • 40% FTSE World Government Bond Index SGD Hedged
CPFIS Risk Classification of Investment-linked Insurance Products Medium to High Risk, Broadly Diversified
Subscription Method CPFIS-OA,CPFIS-SA, Cash and Supplementary Retirement Scheme (SRS)
Initial Investment Charge 5%* of premium invested
Continuing Investment Charge 1.3% per annum**
Payout Frequence Quarterly *** (Last Business Day of March, June, September, December)

 

* Please refer to the Product Summary for details of charges incurred on your insurance plan as charges may vary from product to product and may be lower than 5%.

** We reserve the right to vary the continuing investment charge and may increase it up to a maximum of 2% per annum, but we will not do so before giving investors 6 months’ written notice.

***The Fund offers two Classes of Units, namely Accumulation Class and Distribution Class. There are no material differences between the two Classes except that the Accumulation Class will not declare any dividends while in respect of the Distribution Class, the Manager may at its sole absolute discretion declare and pay out dividends on a semi-annual basis Please refer to “Distribution Policy Section” of the Fund Information Booklet for more details. The offer and bid prices for the two Classes may differ as a result of the dividends declared and paid out by the Distribution Class.

Declaration of Distribution for PRUlink global managed fund (Dis)  
   
Fund Name Declaration Dividend Rate
PRUlink global managed fund (dis) 31 December 2018 1% of the value of the units (based on the bid price)
PRUlink global managed fund (dis) 1 April 2019 1% of the value of the units (based on the bid price)
PRUlink global managed fund (dis) 1 July 2019 0.50% of the value of the units (based on the bid price)
PRUlink global managed fund (dis) 1 October 2019 0.50% of the value of the units (based on the bid price)
PRUlink global managed fund (dis)
31 December 2019
0.50% of the value of the units (based on the bid price)
PRUlink global managed fund (dis)
1 April 2020
0.50% of the value of the units (based on the bid price)
PRUlink global managed fund (dis)
1 July 2020
1.00% of the value of the units (based on the bid price)

 

Distribution payments shall, at the sole discretion of the Manager and/or Prudential Singapore, be made out of either (a) income; or (b) net capital gains; or (c) capital of the Fund or a combination of (a) and/or (b) and/or (c).

Distributions are at the sole discretion of the Manager and/or Prudential Singapore and there is no guarantee, assurance and/or certainty that any distribution will be made and if distributions are made, such distributions are not in any way a forecast, indication or projection of the future or likely performance or distribution of the Fund. The making of any distribution shall not be taken to imply that further distributions will be made. The Manager and/or Prudential Singapore may also vary the frequency and/ or amount of the distributions made.

Investors should also note that distributions of the Fund may, in the event that income and net capital gains are insufficient, or due to fluctuations in exchange rates, be made out of the capital of the Fund. The exchange rates used will be determined solely at the discretion of the Manager and/or Prudential Singapore.

Buying a life insurance policy is a long-term commitment. An early termination of the policy usually involves high cost and the surrender value (if any) payable may be less than the total premiums paid. Investment products are subject to investment risks including the possible loss of the principal amount invested. The value of the units and the income accruing to the units (if any) may fall or rise.

Past performances of the Fund, the Underlying Fund, Fund Manager and the Investment Manager are not necessarily indicative of future or likely performance of the Fund, the Underlying Fund, Fund Manager and the Investment Manager. A copy of the Product Summary, Fund Information Booklet and Product Highlights Sheet ("PHS") in relation to this Fund may be obtained from your Prudential Financial Consultant. You are advised to read the Product Summary, Fund Information Booklet and PHS before deciding whether to subscribe for units in this Fund.

The prediction, projections, or forecasts on the economy, securities markets or the economic trends of the markets targeted by the Fund are not necessarily indicative of the future or likely performance of the Fund.You are recommended to seek advice from a qualified Prudential Financial Consultant for a financial analysis before purchasing a policy suitable to meet your needs. This information contained in this website is for reference only and not a contract of insurance. The exact terms and conditions, specific details and exclusions applicable to this insurance product are stated in the policy documents that can be obtained from a Prudential Financial Consultant.

The information contained in this website is not required to be reviewed or endorsed by the Monetary Authority of Singapore.

Information correct as at 2 July 2018.