PruLinkFund Performance . PruLink Fund Switch . PruSelect Vantage Fund Prices (Updated On 04-Aug-2022) Fund Name Currency Fund Code Price; AB - Global Plus Fixed Income Portfolio Class A2: SGD: 1067: 15.77000: AB FCP I - Global High Yield Portfolio: SGD: Asian Equity Income Fund: USD: 5028: 11.70200: Eastspring Investments Asian Equity USDFixed Income Fund termasuk dalam kategori US Dollar Indonesia Greater China Equity Fund. Tujuan Dana Investasi: PRUlink US Dollar Indonesia Greater China Equity Fund adalah dana investasi dalam mata uang US Dollar yang bertujuan untuk mencapai pertumbuhan modal dalam jangka panjang melalui penempatan dana sebagian besar pada portofolio Afterthe fund merger, there is no major change to the investment objective while the management fee has been changed from 0.5% p.a. to 0.75% p.a. starting from 9 August 2002. Performance of the Reference Fund before 9 August 2002 refers to that of Schroder HK Dollar Fixed Income Fund. Value of investments and their yield may go down as well as up. PRUlinkUS Dollar Fixed Income Fund adalah jenis dana investasi yang ditempatkan di mata uang US Dollar pada instrumen investasi, seperti obligasi dan pasar uang. Selain itu, ada juga PRUlink Rupiah Fixed Income Fund yang menempatkan dana dalam mata uang rupiah yang ditempatkan pada instrumen pendapatan tetap, seperti obligasi dan instrumen PRULinkUS Dollar Fixed Income Fund (DFF) PRULink US Dollar Fixed Income Fund adalah dana investasi jangka menengah dan panjang yang bertujuan untuk mendapatkan potensi hasil investasi yang optimal melalui penempatan dana dalam mata uang US Dollar pada instrument investasi seperti obligasi dan instrumen pasar uang. Theinvestment objective of the Fund is to generate regular income and long term capital appreciation for investors by investing in equities, fixed income, cash and other permissible investments. Investment Focus and Approach The Fund may invest in collective investment schemes and other investment funds (including exchange FundCentral - FundsLibrary /a > Equity. Not take into account the effects of sales charges Square Two, Singapore 049480 the Area, lines, bars and Heikin Ashi in pension funds Findour live Prulink Dynamic Income Fund fund basic information. View & analyze the 0P0000X88M fund chart by total assets, risk rating, Min. investment, market cap and category. PRUlinkAsianFixed-Income Fund Benchmark Important Information Prudential Assurance Company Singapore (Pte) Limited, Company Registration No. 199002477Z 30 Cecil Street, #30-01 Prudential Tower, Singapore 049712 Tel 1800-333 0333 Fax (65) 6734-6953 of Prudential plc (United Kingdom) Performance Greater China over : 30/06/2021 - 30/06/2022. Rank 71/130 Total Return. Rank 29/130 Standard Deviation. Rank 51/130 Max Drawdown. Fund Name. Currency. Return. VYhG. Skip to content BloombergConnecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world For Customers SupportAmericas+1 212 318 2000EMEA+44 20 7330 7500Asia Pacific+65 6212 1000 Company Communications Follow Products Industry Products Media Media Services Company Communications Follow Products Industry Products Media Media Services BloombergConnecting decision makers to a dynamic network of information, people and ideas, Bloomberg quickly and accurately delivers business and financial information, news and insight around the world For Customers SupportAmericas+1 212 318 2000EMEA+44 20 7330 7500Asia Pacific+65 6212 1000 Markets Economics Industries Technology Politics Wealth Pursuits Opinion Businessweek Equality Green CityLab Crypto ClosedAs of 06/15/2023 EDTBefore it's here, it's on the Bloomberg More Ranked 272 out of 1008 in - Global over 12 months All calculations are in USD unless stated Citywire tracks the career performance of all portfolio managers. Ratings and full performance data are only shown for licensed fund groups. Find out more here. Asset managers interested in licensing Citywire Portfolio Manager Ratings should contact ratings Objective The investment objective of the Fund is to seek to maximise total return, consistent with preservation of capital and prudent investment management. The Underlying Fund invests at least two-thirds of its assets in a diversified portfolio of Fixed Income Instruments denominated in major world currencies. The average portfolio duration of this Fund will normally vary within three years plus or minus of the Bloomberg Barclays Global Aggregate Index the “Index”. Showing manager performance in Americas You can view performance in individual jurisdictions. Please see terms and conditions for restrictions on use of Citywire's Portfolio Manager database. Performance Global Over 5/31/2022 - 5/31/2023 TotalReturns Month by month Performance Quarterly Performance to 31/03/2023 Annual Q1 Q2 Q3 Q4 2023 2022 -5% 2021 Returns Vs Risk Asset Allocation Top 10 Holdings Stock Size PIMCO GIS Glb Bd Instl SGDH Acc 31/03/2023 Registered For Sale In Singapore Fund Info Launch date 19/01/2021 Share Class Size 00Mn Base Currency SGD ISIN Purchase Info Min. initial investment Unknown Min. regular additional investment Unknown Charges Annual Management Performance is for the period shown month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated.