Important Notice
Please click here for more details about the MPF sponsor change or here to read the notice.
Effective 9 Aug 2021, Manulife (International) Limited (“Manulife”) takes on the role of the sponsor of Allianz Global Investors MPF Plan (“the Scheme”). AllianzGI continues to be the Scheme’s investment manager and to provide offerings on Manulife’s multi-manager MPF platform with its global investment expertise.
Should you have MPF related enquiries, please do not hesitate to call at 2298 9000.
Allianz Global Investors Choice Fund
• | Allianz Global Investors Choice Fund (the “Trust”) is an umbrella unit trust established under HK laws pursuant to the Trust Deed with different sub-Funds, each with a different investment objective and/or risk profile. |
• | Investing in any of the sub-funds may be subject to various risks (including, but not limited to, risk investing in fixed-interest securities, equity risk, company-specific risk, country and region risk, inflation risk, downgrading risk and concentration risk). |
• | Subscribing for units in some sub-funds are not the same as placing monies on deposit with a bank or deposit-taking company. |
• | Some sub-funds are funds of funds and their assets are substantially invested in other sub-funds of the Trust. This may be subject to higher risks, such as concentration risk, risks relating to the nature of a fund of funds and asset allocation risk. |
• | Some sub-funds may invest in a single country or region. The investment focus of such sub-funds may give rise to increased risk over more diversified sub-funds. |
• | Some sub-funds invest in China market and Renminbi may be subject to higher risks such as Chinese RMB currency risk, limited pool of investments risk, liquidity risk, credit risk and taxation risk. |
• | Some sub-funds may invest in financial futures or options contracts which may expose to higher counterparty, liquidity, and market risks. Use of such derivatives may become ineffective and result in significant losses to the sub-funds. A Sub-Fund’s net derivative exposure may be up to 50% of its NAV. |
• | Investment involves risks that could result in loss of part or entire amount of investors’ investment. |
• | In making investment decisions, investors should not rely solely on this website. |