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PRUlink singapore ASEAN managed fund

Fund Information

The Fund aims to maximise total return in the medium to long term by investing primarily in equities and equity-related securities of companies which are incorporated, quoted or listed in, or have their area of primary activity in Singapore and other ASEAN markets, and in Singapore-dollar denominated debt securities and foreign currency debt securities.


Launch Date 20 March 2012
Manager of the Fund Eastspring Investments (Singapore) Limited (formerly known as Prudential Asset Management (Singapore) Limited)
Underlying Entity Eastspring Investments Unit Trusts - Singapore ASEAN Equity Fund and
Eastspring Investments Unit Trusts - Singapore Select Bond Fund
Benchmark 70% Customised blended FTSE ST All-share & FTSE ASEAN (ex- Singapore) Index + 30% Markit iBoxx ALBI Singapore Index.
Risk Classification of Investment-linked Insurance Products Medium to high risk classification (narrowly focused)
Initial Investment Charge 5% of premium invested*
Continuing Investment Charge 1.3% per annum**
Subscription Method Cash, Supplementary Retirement Scheme (SRS), Central Provident Fund (CPF) - Ordinary Account and CPF - Special Account


* 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%. For policies purchased with CPF monies, the net sales charge is capped at 3% of premium invested which currently comprises the initial investment charge (bid-offer spread) and the allocation rate of the premium.

** 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.


Investments are subject to investment risks including the possible loss of the principal amount invested.

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 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 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. The value of the units in the Fund and any income accruing to the units, if any, may fall or rise.

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.

Information correct as at 6 December 2013.