New Funds Express

BOCHK offers you different kinds of fund choices, helping you grasp investment opportunities:

 

Fund House Asset Class Fund Name Currency
Capital International Management Company  Equity CAPITAL GROUP NEW PERSPECTIVE FUND (LUX) USD, HKD, RMB Hedged, AUD Hedged, EUR Hedged, GBP Hedged
JPMorgan Funds (Asia) Ltd. Equity JPMORGAN ASIA EQUITY HIGH INCOME FUND USD, HKD, AUD
AllianceBernstein Hong Kong Limited Equity AB - CHINA NET ZERO SOLUTIONS PORTFOLIO USD, HKD, RMB Hedged, AUD Hedged, EUR Hedged
Taikang Asset Management (Hong Kong) Company Limited Money Market TAIKANG KAITAI US DOLLAR MONEY MARKET FUND USD
Bosera Asset Management (International) Co., Limited Money Market BOSERA USD MONEY MARKET ETF (UNLISTED CLASS) USD
China Universal Asset Management (Hong Kong) Company Limited Money Market CUAM USD MONEY MARKET USD


Note: The above-mentioned products are open-end funds newly distributed by BOCHK within the past 6 months.

For enquiry, please call our Personal Customer Service Hotline at +852 3988 2388 or visit any of our branches.

Important Notes

The following Risk Disclosure Statement may not disclose all the risks involved. You should undertake your own research and study before you trade or invest. You should carefully consider whether trading or investment is suitable in light of your own financial position and investment objectives.

Risk Disclosure Statement

The above information is for reference only. This webpage does not constitute any offer, solicitation, recommendation, comment or any guarantee to the purchase or sale of any investment products or services. The investment products or services mentioned in this webpage are not equivalent to, nor should it be treated as a substitute for, time deposit. Although investment may bring profit opportunities, each investment product or service involves potential risks. Due to dynamic changes in the market, the price movement and volatility of investment products may not be the same as expected by you. Your fund may increase or reduce due to the purchase or sale of investment products. The value of investment funds may go up as well as down and the investment funds may become valueless. Therefore, you may not receive any return from investment funds. Part of your investment may not be able to liquidate immediately under certain market situation. The investment decision is yours but you should not invest in these products unless the intermediary who sells them to you has explained to you that these products are suitable for you having regard to your financial situation, investment experience and investment objectives. Before making any investment decisions, you should consider your own financial situation, investment objectives and experiences, risk acceptance and ability to understand the nature and risks of the relevant product. Investment involves risks. Please refer to the relevant fund offering documents for further details including risk factors. If you have any inquiries on this Risk Disclosure Statement or the nature and risks involved in trading or funds etc, you should seek advice from independent financial adviser.

Disclaimer

Mutual funds and unit trusts ("Investment Funds") described in this "Fund Information" section are not available to all persons in all geographic locations. Only persons who are permitted by applicable law may browse the information and / or accept the services and products described in this section. Persons accessing these pages are required to ensure that they are aware of and observe all relevant restrictions that apply to them and are responsible for satisfying themselves that they may do so under the laws or the jurisdiction from which access is obtained to this section. The information contained in this section is intended solely for the use of residents of the Hong Kong Special Administrative Region.

The information contained in this section is for general information only on an "as is" basis without our warranty of any kind and may be changed at any time without prior notice.

No information contained in this section should be regarded as an offer to sell, to subscribe to, or advice or recommendation to anyone on any Investment Fund or any other product or service in any jurisdiction. Viewers should consult independent professional adviser before making any investment, financial decision or purchasing any Investment Fund.

All the information and contents in this section relating to Investment Funds are provided by Morningstar (“Data Provider”). For technical and / or operational reasons, certain information and materials may be different from that supplied by the original source of information. Neither the Company nor any of its affiliates devises, selects, adds to, modifies, edits or otherwise exercises any control over any information provided by the data provider relating to Investment Funds in this section, or is involved in its collection, processing and / or posting onto this section, and neither of them guarantees or endorses its accuracy or completeness of, or that it is up-to date. To the extent permitted by applicable law, the Company disclaims liability for any errors, omissions or inaccuracies in the information and materials provided in this section and for any loss or damages, incidental or consequential, resulting from its use or the inability to use such information and materials by any party, or in connection with any error, interruption, delay in operation or incomplete transmission, line or system failure.

All information and materials in this section are protected by copyright. No part of this section may be modified, reproduced, transmitted and distributed in any format for commercial or public use without the Company's prior written consent.

Use of hyperlinks to other internet sites or resources is at the browser's own risks. The Company expressly disclaims any responsibility for the accuracy or availability of the information provided by those sites or for the safety of information which the browser may provide to any third party. Please also see the Company's Hyperlink Policy for full details.

Viewers of this section should be aware that any information regarding prices of Investment Funds presented in this section is on a delayed basis. All prices are indicative and dependent upon market conditions and the terms are liable to change and completion in the final documentation. Unit or share price of an Investment Fund presented in this section does not represent the actual subscription price or the redemption price. All prices are subject to final confirmation by the Company.

Each Investment Fund available in this section is subject to the applicable terms and conditions set out in its offering document(s) which may include, without limitation, term sheet, fund prospectus, fact sheets, marketing materials and all other relevant documents and materials. Viewers of this section should carefully read all of the relevant Investment Fund's offering documents before deciding whether to invest in it. Any offer or application to subscribe for any Investment Fund via the Company shall be subject to acceptance by the Company in its sole discretion and to the Company's Conditions for Services and any other terms and conditions of the Company governing its investment fund services (as each of them may be amended by the Company from time to time).

By using this section of the website, each user agrees to be bound by the contents of this disclaimer, as it may be amended by the Company from time to time and posted onto this section.


This webpage is issued by Bank of China (Hong Kong) Limited. The contents of this webpage have not been reviewed by the Securities and Futures Commission in Hong Kong.

Important Notes