Manulife Home Country Youtube

MANULIFE ASIA BEST SELECT EQUITY FUND USD-SHARE CLASS A

The Fund seeks to achieve capital growth by investing primarily in a diversified portfolio of securities of companies listed on stock markets in and/or incorporated in and/or with significant business interests in Asia including Australia, Hong Kong, Indonesia, Malaysia, New Zealand, the PRC, Philippines, Singapore, South Korea, Taiwan, Thailand, Vietnam and Pakistan, but not in Japan.
  • Asia?s best-in-class companies. Invest in companies that are market leaders with sustainable competitive advantage.
  • Rigorous selection process. We build a focused portfolio with strong conviction based on Growth, Cash Flow, Management and Valuation (GCMV) framework.
  • Long-term outperformance potential. Future outperformance may be possible by selecting companies with differentiated business models, capable of capturing opportunities arising from shifts in structural trends and demographics.

Fund Name

Manulife Asia Best Select Equity Fund USD-Share Class A

Currency

USD

Launch Date

June 19, 2018

Risk Profile

Aggressive

Par Value of the Fund

USD 1.00

Minimum Initial Participation

USD 100.00

Minimum Maintaining Participation

USD 100.00

Minimum Transaction Amount

USD 100.00

Minimum Holding Period

30 days

Contribution Settlement

T+1

Redemption Settlement

T+8

Trust Fee

1.75% p.a.

Early Redemption Charge

1.00%

 

Download Fund Details and Documents 

Plan Rules Plan Rules/ Declaration of Trust
Key Information and Investments Disclosure Statements Key Information and Investments
Disclosure Statements

loading ...

           Note:Consistent with forward pricing, the NAVPU indicated is computed at the end of day and posted in the website the following business day. 
2021-04-081.3241
2021-04-071.3323
2021-04-061.3239
2021-04-051.2914
2021-03-311.3009
2021-03-301.2961
2021-03-291.2971
2021-03-261.2880
2021-03-251.2951
2021-03-241.3154
2021-03-231.3270
2021-03-221.3239
2021-03-191.3363
2021-03-181.3292
2021-03-171.3285
2021-03-161.3194
2021-03-151.3361
2021-03-121.3361
2021-03-111.3069
2021-03-101.2991
2021-03-091.2982
2021-03-081.3313
2021-03-051.3369
2021-03-041.3771
2021-03-031.3616
2021-03-021.3576
2021-03-011.3346
2021-02-261.3742
2021-02-241.4082
2021-02-231.4038