Terms And Conditions
Disclaimer: Hong Kong - Investors

The funds included in this site invest in different investment tools, such as stocks and bonds. Each fund invests in different investment instruments and therefore bears different risks.

Some funds investing in emerging market stocks may involve higher risks than investing in developed markets, including sharp price fluctuations, liquidity risks, and currency risks.

Some funds investing in stocks of a single country or industry may have higher volatility than investing in multiple countries or industries.

Some funds investing in China bear additional risks, including the risk of repatriating funds and uncertain tax policies.

Some funds may invest in underrated, unrated, and high-yield debt securities. This will expose these funds to higher liquidity risk, default risk, and price fluctuations due to changes in the issuer's credit value. These funds investing in fixed rate securities may be affected by interest rate fluctuations.

Some funds may deduct all or part of their fees and expenses from capital, thereby increasing distributable income and actually making distributions from capital. Similarly, in certain cases, dividends may be deducted from capital, equivalent to returning a portion of the investor's original investment or any capital gains obtained from that original investment, which may result in an immediate decrease in net asset value per share.

You may lose all your investments.

You should refer to the relevant fund sales documents, including risk factors. You should not make investment decisions solely based on this information.

Please review the content of this page before entering this site. The following provides an overview of several legal restrictions on the distribution of such data in several jurisdictions. After carefully reading the following data, please click "I have read and agreed to the above terms" to confirm that you have read and understood the above data, and agree to the terms of use contained on this site. Otherwise, please click "Cancel" to leave the website.

This site is for the use of Hong Kong residents only. Non Hong Kong residents are responsible for complying with all applicable laws and regulations within their jurisdiction before browsing the data on this website.

Not constituting an offer/local restriction

Any content listed on the website should not be construed as soliciting an offer to purchase, or as suggesting the purchase or sale of any securities, commodities, investments, or engaging in any other transaction. Any information contained on this website does not constitute investment advice, nor does it serve as a recommendation or representation of the suitability or applicability of any advisory products or services, nor does it propose or solicit the purchase or sale of any securities, financial products or investment instruments, nor does it serve as any specific trading strategy. Before making any investment decision, you must seek independent financial and tax advice.

The data provided on this site is not intended to be distributed or provided to any person or individual in a jurisdiction or country where the distribution or use of such data is not permitted by law or regulations, or is regulated by law. The owner and entity of the connected website are responsible for actively connecting to the website and complying with applicable local laws and regulations. The website is not aimed at any person in any jurisdiction where the publication or connection of the website is prohibited, regardl<x><x><x><x><x><x><x><x><x><x><x><x><x><x><x><x><x><x><x><x><x>ess of whether the prohibition is due to the person's nationality, residency, or other reasons. Individuals subject to these restrictions are not allowed to connect to the website.

Data published on the website

Huaan Asset Management (Hong Kong) Limited ("Huaan Hong Kong") has taken all reasonable and prudent measures to ensure that the data on this website is accurate, timely, complete, suitable for the intended use on the date of publication, and complies with relevant and applicable laws and regulations. However, there is a possibility of errors or omissions in the relevant data due to circumstances beyond the control of Huaan Hong Kong. Huaan Hong Kong makes no guarantee or statement regarding the accuracy or completeness of the data contained on this site. You need to carefully consider and investigate, without relying on any data on this site. Any actions taken by anyone based on the content on this site will be their own responsibility for the risks.

The data on this website is correct on the day of publication, but it is not guaranteed that you will still be true and complete when reading. Huaan Hong Kong does not guarantee the accuracy, timeliness, and completeness of the content. This site may provide data provided by a third party, and such data is provided by the third party and assumes full responsibility. Huaan Hong Kong will not make any guarantees regarding such data. All content may be changed without prior notice.

Any opinions or predictions used on this site are based on data deemed reliable during the publication date, but Huaan Hong Kong does not guarantee the timeliness, accuracy, and completeness of such data. Any opinion based on market conditions at the time and specific expectations (or not proven to be valid) is correct on the day of publication and can be changed at any time. Users of this site should not rely solely on such content.

Risk warning

Investment involves risks. Past performance does not necessarily indicate future returns. The price and returns of investment products can rise or fall. In some cases, investors may lose all their capital. Investors should carefully review the issuance documents, including risk factors. You should consider and understand the risk factors involved in your investment goals and the acceptable level of risk. If you have any questions, you should consult with independent financial and professional advisors.
Agree
Disagree
Please enter keywords
Huaan Investment Grade Bond Fund
Share Class:
Class I USD (Acc)
Class I USD (Acc)
Class I HKD (Acc)
Class I RMB (Acc)
Class I USD (Dis)
Class I HKD (Dis)
Class I RMB (Dis)
Class A USD (Acc)
Class A HKD (Acc)
Class A RMB (Acc)
Class A USD (Dis)
Class A HKD (Dis)
Class A RMB (Dis)
Class O USD (Acc)
Class O HKD (Acc)
Class O RMB (Acc)
Class O USD (Dis)
Class O HKD (Dis)
Class O RMB (Dis)
ISIN:HK0000888443
Hong Kong
Domicile
USD
Currency
28 Nov, 2022
Inception Date
21 Oct, 2024
Net Asset Value Date
1075.4589
Net Asset Value
0.40%
Management Fee
Up to 2%
Subscription Fee
USD65,000
Minimum initial investment amount
Important message:
• Investment in the HuaAn Investment Fund OFC – HuaAn Investment Grade Bond Fund (the “Sub-Fund”) is subject to normal market fluctuationsother risks inherent in the Sub-Fund’s assets. Accordingly, there is a risk that you may not recoup the original amount invested in the Sub-Fundmay lose a substantial partall of your investment.
• The Sub-Fund seeks to provide investors with a stableconsistent investment return over medium to long term by investing primarily in investment grade debt securities globallymay be subject to a) Risks relating to debt securities (including Credit/counterparty risk, Interest Rate risk, Sovereign debt risk, Volatilityliquidity risk, Downgrading risk, Valuation risk, Credit rating risk, Credit rating agency riskBelow investment gradeunrated securities risk), b) Risks relating to salerepurchase transactions, c) Concentration risk, d) EuroEU related risks, e) Risks of investing in convertible bonds, f) Emerging markets risk, g) RMB currencyconversion risk, h) RMB share class risk, i) Currencyforeign exchange riskj) Distributions out of/effectively out of capital risk.
• The Sub-Fund may invest in derivatives for hedginginvestment purposes to the extent permitted by the Codein adverse situations its use of financial derivative instruments may become ineffective and/or cause the Sub-Fund to suffer significant loss.
• Distributions of the Sub-Fund may be paid out of and/or effectively out of the capital of the Sub-Fund. Investors should note that payment of distributions out of and/or effectively out of capital amounts to a returnwithdrawal of part of an investor’s original investmentfrom any capital gains attributable to that original investmentsuch distributions will result in an immediate reduction of the net asset value per share.
• You should not invest in the Sub-Fund unless the intermediary who sells it to you has explained that the Sub-Fund is suitable for you regarding your financial situation, investment experienceobjectives.
• Investors should not invest in the Sub-Fund based on this document alone. Before making any investment decision, the investor should read the Sub-Fund’s offering documents carefully including the risk factors.
Disclaimer
All rights reserved © 2024. Huaan Asset Management (Hong Kong) Limited. The issuer of this report is Huaan Asset Management (Hong Kong) Limited. This report does not constitute an invitationrecommendation from investment fund units. When subscribing to fund units, only the subscription form with the instruction manual can be used. Investment carries risks, fund prices can risefall,past performance does not represent future performance. Before investing, investors should carefully read the investment risks related to the fund in the prospectus (including the "Risk Factors" section). This report may only be distributed within certain jurisdictions. In any jurisdiction where the distribution of relevant datathe making of any invitationssuggestions is prohibited,where the distribution of relevant reportsthe making of invitationssuggestions to anyone is illegal, this report does not constitute such distribution, invitationsuggestion. This document has been exempted from pre reviewapproval by the Hong Kong SecuritiesFutures Commissionhas not been reviewed by the Hong Kong SecuritiesFutures Commission. The Hong Kong SecuritiesFutures Commissions endorsement does not guarantee the commercial benefitsperformance of the plan, nor does it imply that the plan is suitable for all investors, nor does it imply that the plan is suitable for any individual investorany category of investors.