Weight
5

Principal Hong Kong Equity Fund - R6 Class Units

Overview

NAV^
10.0733
As of 16/04/2026
Daily Change
1.91%
As of 16/04/2026
Investment Objectives

To achieve capital growth over the long-term by investing mainly in Hong Kong equity markets.

To achieve capital growth over the long-term by investing mainly in Hong Kong equity markets.

Fund Information

as of 16/04/2026unless indicated otherwise
Series name
Asset class
Fund domicile
Hong Kong
Base Currency
HKD
HKD9,813.8 million As of 28/02/2026
3 years annualized volatility2
19.61 As of 28/02/2026
Ongoing charges over a year3
1.43%
Management fees
1.20% pa
Launch date
15/01/2015
Investment manager
Alan (Xi) Wang

Performance Chart

10.0733

NAV / unit
 

Geographic Allocation4

As of 15/01/2015
Hong Kong/China
70 - 100%
Others
0 - 30%

1. The Risk/Return Spectrum includes 4 levels of risks: Low, Moderate, Moderate to High and High. The classifications of Risk/Return Spectrum for each constituent fund are determined by the Investment Manager of the Scheme, Principal Asset Management Company (Asia) Limited, based on past volatility (i.e. annualized standard deviation of returns) and relative risk levels among the constituent funds in the Scheme. The classifications of Risk/Return Spectrum will be reviewed by the Investment Manager on an annual basis and are provided for reference only.

2. The 3 Years Annualized Volatility shows the risk of a constituent fund and is calculated as an annualized standard deviation based on the monthly rates of return of the constituent fund over the past three years. However, it is not required to indicate the 3 Years Annualized Volatility if the period between the reporting date of the website and the inception date for the fund is less than 3 years.

3. The ongoing charges figures are based on expenses for the year ended 31 December 2024. These figures may vary from year to year.

4. Investors should note that (i) the above ranges of asset and geographic allocations are for indication only and long-term allocations may vary with changing market conditions; and (ii) the geographic allocation for equity investments is classified by the principal place of business of the issuers and the geographic allocation for debt investments is classified by their currency denomination. 

Sustainability Characteristics

All data is sourced from MSCI based on the portfolio holdings as of 31/12/2024
164.94
Financed Carbon Emissions (tons CO2e / $M invested) ^
91.40
Financed Carbon Emissions Coverage

^ Total Portfolio Carbon Emissions measures the scope 1 and scope 2 GHG emission for all the investments in the investee company per USD million invested by their equity ownership.

Dividend distribution history

Dividend Period End Date Dividend per unit Dividend paid out of net distributable income for the period Dividend effectively paid out of capital
Important notice
  • Principal Hong Kong Equity Fund (“Sub-Fund”) will invest primarily in listed equities issued by companies established in Hong Kong or by companies whose shares are listed in Hong Kong. The Sub-Fund may also invest in listed equities issued by companies which have business in Hong Kong.
  • The Sub-Fund invests in a single country or regional markets. Compared with a well-diversified fund, its concentration risk is relatively high and hence it might be more volatile than a well diversified fund.

^ The unit price of the fund is calculated on net asset value.

* The name of the funds is not indicative of the fund's performance and return.

This material is intended for general reference only. This material does not constitute an offer or solicitation or invitation or advice or recommendation to enter into any transactions. Investment involves risk. There is no assurance on investment returns. You should consider your own risk tolerance level and financial circumstances before making any investment choices. If you are in doubt as to whether a certain fund or product mentioned in this material is suitable for you, you should seek independent professional advice.

Issuer of this material
Principal Global Investors Funds, CCB Principal Selected Growth Mixed Asset Fund, CCB Principal Dual Income Bond Fund
Issuer: Principal Investment & Retirement Services Limited
Principal Life Style Fund, Principal Prosperity Series
Issuer: Principal Asset Management Company (Asia) Limited

This material has not been reviewed by the Securities and Futures Commission.

This site makes extensive use of Adobe® Acrobat® files. Adobe Acrobat can be downloaded free from www.adobe.com. Please note that this may take a short while to download.

Principal Hong Kong Equity Fund - R2 Class Units

Overview

NAV^
13.1845
As of 16/04/2026
Daily Change
1.91%
As of 16/04/2026
Investment Objectives

To achieve capital growth over the long-term by investing mainly in Hong Kong equity markets

To achieve capital growth over the long-term by investing mainly in Hong Kong equity markets

Fund Information

as of 16/04/2026unless indicated otherwise
Series name
Asset class
Fund domicile
Hong Kong
Base Currency
HKD
HKD9,813.8 million As of 28/02/2026
3 years annualized volatility2
19.60 As of 28/02/2026
Ongoing charges over a year3
1.93%
Management fees
1.20% pa
Launch date
01/02/2017
Investment manager
Alan (Xi) Wang

Performance Chart

13.1845

NAV / unit
 

Geographic Allocation4

As of 01/02/2017
Hong Kong/China
70 - 100%
Others
0 - 30%

1. The Risk/Return Spectrum includes 4 levels of risks: Low, Moderate, Moderate to High and High. The classifications of Risk/Return Spectrum for each constituent fund are determined by the Investment Manager of the Scheme, Principal Asset Management Company (Asia) Limited, based on past volatility (i.e. annualized standard deviation of returns) and relative risk levels among the constituent funds in the Scheme. The classifications of Risk/Return Spectrum will be reviewed by the Investment Manager on an annual basis and are provided for reference only.

2. The 3 Years Annualized Volatility shows the risk of a constituent fund and is calculated as an annualized standard deviation based on the monthly rates of return of the constituent fund over the past three years. However, it is not required to indicate the 3 Years Annualized Volatility if the period between the reporting date of the website and the inception date for the fund is less than 3 years.

3. The ongoing charges figures are based on expenses for the year ended 31 December 2024. These figures may vary from year to year.

4. Investors should note that (i) the above ranges of asset and geographic allocations are for indication only and long-term allocations may vary with changing market conditions; and (ii) the geographic allocation for equity investments is classified by the principal place of business of the issuers and the geographic allocation for debt investments is classified by their currency denomination. 

Sustainability Characteristics

All data is sourced from MSCI based on the portfolio holdings as of 31/12/2024
164.94
Financed Carbon Emissions (tons CO2e / $M invested) ^
91.40
Financed Carbon Emissions Coverage

^ Total Portfolio Carbon Emissions measures the scope 1 and scope 2 GHG emission for all the investments in the investee company per USD million invested by their equity ownership.

Important notice
  • Principal Hong Kong Equity Fund (“Sub-Fund”) will invest primarily in listed equities issued by companies established in Hong Kong or by companies whose shares are listed in Hong Kong. The Sub-Fund may also invest in listed equities issued by companies which have business in Hong Kong.
  • The Sub-Fund invests in a single country or regional markets. Compared with a well-diversified fund, its concentration risk is relatively high and hence it might be more volatile than a well diversified fund.

^ The unit price of the fund is calculated on net asset value.

* The name of the funds is not indicative of the fund's performance and return.

This material is intended for general reference only. This material does not constitute an offer or solicitation or invitation or advice or recommendation to enter into any transactions. Investment involves risk. There is no assurance on investment returns. You should consider your own risk tolerance level and financial circumstances before making any investment choices. If you are in doubt as to whether a certain fund or product mentioned in this material is suitable for you, you should seek independent professional advice.

Issuer of this material
Principal Global Investors Funds, CCB Principal Selected Growth Mixed Asset Fund, CCB Principal Dual Income Bond Fund
Issuer: Principal Investment & Retirement Services Limited
Principal Life Style Fund, Principal Prosperity Series
Issuer: Principal Asset Management Company (Asia) Limited

This material has not been reviewed by the Securities and Futures Commission.

This site makes extensive use of Adobe® Acrobat® files. Adobe Acrobat can be downloaded free from www.adobe.com. Please note that this may take a short while to download.

Principal Hong Kong Equity Fund - Retail Class Units

Overview

NAV^
39.9577
As of 16/04/2026
Daily Change
1.91%
As of 16/04/2026
Investment Objectives

To achieve capital growth over the long-term by investing mainly in Hong Kong equity markets.

To achieve capital growth over the long-term by investing mainly in Hong Kong equity markets.

Fund Information

as of 16/04/2026unless indicated otherwise
Series name
Asset class
Fund domicile
Hong Kong
Base Currency
HKD
HKD9,813.8 million As of 28/02/2026
3 years annualized volatility2
19.61 As of 28/02/2026
Ongoing charges over a year3
1.44%
Management fees
1.20% pa
Launch date
01/11/2005
Investment manager
Alan (Xi) Wang

Performance Chart

39.9577

NAV / unit
 

Fund Return

As of
Cumulative return table
Class

Geographic Allocation4

As of 01/11/2005
Hong Kong/China
70 - 100%
Others
0 - 30%

1. The Risk/Return Spectrum includes 4 levels of risks: Low, Moderate, Moderate to High and High. The classifications of Risk/Return Spectrum for each constituent fund are determined by the Investment Manager of the Scheme, Principal Asset Management Company (Asia) Limited, based on past volatility (i.e. annualized standard deviation of returns) and relative risk levels among the constituent funds in the Scheme. The classifications of Risk/Return Spectrum will be reviewed by the Investment Manager on an annual basis and are provided for reference only.

2. The 3 Years Annualized Volatility shows the risk of a constituent fund and is calculated as an annualized standard deviation based on the monthly rates of return of the constituent fund over the past three years. However, it is not required to indicate the 3 Years Annualized Volatility if the period between the reporting date of the website and the inception date for the fund is less than 3 years.

3. The ongoing charges figures are based on expenses for the year ended 31 December 2024. These figures may vary from year to year.

4. Investors should note that (i) the above ranges of asset and geographic allocations are for indication only and long-term allocations may vary with changing market conditions; and (ii) the geographic allocation for equity investments is classified by the principal place of business of the issuers and the geographic allocation for debt investments is classified by their currency denomination. 

Sustainability Characteristics

All data is sourced from MSCI based on the portfolio holdings as of 31/12/2024
164.94
Financed Carbon Emissions (tons CO2e / $M invested) ^
91.40
Financed Carbon Emissions Coverage

^ Total Portfolio Carbon Emissions measures the scope 1 and scope 2 GHG emission for all the investments in the investee company per USD million invested by their equity ownership.

Important notice
  • Principal Hong Kong Equity Fund (“Sub-Fund”) will invest primarily in listed equities issued by companies established in Hong Kong or by companies whose shares are listed in Hong Kong. The Sub-Fund may also invest in listed equities issued by companies which have business in Hong Kong.
  • The Sub-Fund invests in a single country or regional markets. Compared with a well-diversified fund, its concentration risk is relatively high and hence it might be more volatile than a well diversified fund.

^ The unit price of the fund is calculated on net asset value.

* The name of the funds is not indicative of the fund's performance and return.

This material is intended for general reference only. This material does not constitute an offer or solicitation or invitation or advice or recommendation to enter into any transactions. Investment involves risk. There is no assurance on investment returns. You should consider your own risk tolerance level and financial circumstances before making any investment choices. If you are in doubt as to whether a certain fund or product mentioned in this material is suitable for you, you should seek independent professional advice.

Issuer of this material
Principal Global Investors Funds, CCB Principal Selected Growth Mixed Asset Fund, CCB Principal Dual Income Bond Fund
Issuer: Principal Investment & Retirement Services Limited
Principal Life Style Fund, Principal Prosperity Series
Issuer: Principal Asset Management Company (Asia) Limited

This material has not been reviewed by the Securities and Futures Commission.

This site makes extensive use of Adobe® Acrobat® files. Adobe Acrobat can be downloaded free from www.adobe.com. Please note that this may take a short while to download.

Principal Hong Kong Dollar Savings Fund - Retail Class Units

Overview

NAV^
14.142
As of 16/04/2026
Daily Change
-0.05%
As of 16/04/2026
Investment Objectives

To earn a competitive short-to-medium term rate of return by investing primarily in a portfolio of high quality Hong Kong dollar short-to-medium duration debt securities.

To earn a competitive short-to-medium term rate of return by investing primarily in a portfolio of high quality Hong Kong dollar short-to-medium duration debt securities.

Fund Information

as of 16/04/2026unless indicated otherwise
Series name
Asset class
Fund domicile
Hong Kong
Base Currency
HKD
HKD2,950.6 million As of 28/02/2026
3 years annualized volatility2
1.01 As of 28/02/2026
Ongoing charges over a year3
0.72%
Management fees
0.50% pa
Launch date
02/07/2003
Investment manager
Howe Chung Wan, Prakash Gopalakrishnan, Kiat Hau Siaw

Performance Chart

14.142

NAV / unit
 

Fund Return

As of
Cumulative return table
Class

Geographic Allocation4

As of 02/07/2003
Hong Kong
70 - 100%
United States
0 - 30%
Europe
0 - 30%
Others
0 - 20%

1. The Risk/Return Spectrum includes 4 levels of risks: Low, Moderate, Moderate to High and High. The classifications of Risk/Return Spectrum for each constituent fund are determined by the Investment Manager of the Scheme, Principal Asset Management Company (Asia) Limited, based on past volatility (i.e. annualized standard deviation of returns) and relative risk levels among the constituent funds in the Scheme. The classifications of Risk/Return Spectrum will be reviewed by the Investment Manager on an annual basis and are provided for reference only.

2. The 3 Years Annualized Volatility shows the risk of a constituent fund and is calculated as an annualized standard deviation based on the monthly rates of return of the constituent fund over the past three years. However, it is not required to indicate the 3 Years Annualized Volatility if the period between the reporting date of the website and the inception date for the fund is less than 3 years.

3. The ongoing charges figure is based on expenses for the year ended 31 December 2024. This figure may vary from year to year.

4. Investors should note that (i) the above ranges of asset and geographic allocations are for indication only and long-term allocations may vary with changing market conditions; and (ii) the geographic allocation for equity investments is classified by the principal place of business of the issuers and the geographic allocation for debt investments is classified by their currency denomination. 

Sustainability Characteristics

All data is sourced from MSCI based on the portfolio holdings as of 31/12/2024
229.67
Financed Carbon Emissions (tons CO2e / $M invested) ^
93.00
Financed Carbon Emissions Coverage

^ Total Portfolio Carbon Emissions measures the scope 1 and scope 2 GHG emission for all the investments in the investee company per USD million invested by their equity ownership.

Important notice
  • Principal Hong Kong Dollar Savings Fund (“Fund”) will invest primarily in a portfolio of high quality Hong Kong dollar short-to-medium duration debt securities and it may also hold assets denominated in other currencies. The Fund is therefore subject to foreign exchange, liquidity, credit and interest rate risks.
  • Investment in this Fund is different from placing deposits with a bank or deposit-taking company. Investment in this Fund is not protected by the Deposit Protection Scheme.
  • Investment involves risk.

^ The unit price of the fund is calculated on net asset value.

* The name of the funds is not indicative of the fund's performance and return.

This material is intended for general reference only. This material does not constitute an offer or solicitation or invitation or advice or recommendation to enter into any transactions. Investment involves risk. There is no assurance on investment returns. You should consider your own risk tolerance level and financial circumstances before making any investment choices. If you are in doubt as to whether a certain fund or product mentioned in this material is suitable for you, you should seek independent professional advice.

Issuer of this material
Principal Global Investors Funds, CCB Principal Selected Growth Mixed Asset Fund, CCB Principal Dual Income Bond Fund
Issuer: Principal Investment & Retirement Services Limited
Principal Life Style Fund, Principal Prosperity Series
Issuer: Principal Asset Management Company (Asia) Limited

This material has not been reviewed by the Securities and Futures Commission.

This site makes extensive use of Adobe® Acrobat® files. Adobe Acrobat can be downloaded free from www.adobe.com. Please note that this may take a short while to download.

Principal Hong Kong Bond Fund - R6 Class Units

Overview

NAV^
8.959
As of 16/04/2026
Daily Change
-0.16%
As of 16/04/2026
Investment Objectives

To provide a return consisting of income and capital growth over medium to long term.

To provide a return consisting of income and capital growth over medium to long term.

Fund Information

as of 16/04/2026unless indicated otherwise
Series name
Asset class
Fund domicile
Hong Kong
Base Currency
HKD
HKD3,787.8 million As of 28/02/2026
3 years annualized volatility2
3.24 As of 28/02/2026
Ongoing charges over a year3
1.02%
Management fees
0.80% pa
Launch date
15/01/2015
Investment manager
Howe Chung Wan, Prakash Gopalakrishnan

Performance Chart

8.959

NAV / unit
 

Geographic Allocation4

As of 15/01/2015
Hong Kong
70 - 100%
Others
0 - 30%

1. The Risk/Return Spectrum includes 4 levels of risks: Low, Moderate, Moderate to High and High. The classifications of Risk/Return Spectrum for each constituent fund are determined by the Investment Manager of the Scheme, Principal Asset Management Company (Asia) Limited, based on past volatility (i.e. annualized standard deviation of returns) and relative risk levels among the constituent funds in the Scheme. The classifications of Risk/Return Spectrum will be reviewed by the Investment Manager on an annual basis and are provided for reference only.

2. The 3 Years Annualized Volatility shows the risk of a constituent fund and is calculated as an annualized standard deviation based on the monthly rates of return of the constituent fund over the past three years. However, it is not required to indicate the 3 Years Annualized Volatility if the period between the reporting date of the website and the inception date for the fund is less than 3 years.

3. For Retail Class Units and R6 Class Units: the ongoing charges figures are based on expenses for the year ended 31 December 2024. These figures may vary from year to year.

4. Investors should note that (i) the above ranges of asset and geographic allocations are for indication only and long-term allocations may vary with changing market conditions; and (ii) the geographic allocation for equity investments is classified by the principal place of business of the issuers and the geographic allocation for debt investments is classified by their currency denomination.

Sustainability Characteristics

All data is sourced from MSCI based on the portfolio holdings as of 31/12/2024
105.18
Financed Carbon Emissions (tons CO2e / $M invested) ^
74
Financed Carbon Emissions Coverage

^ Total Portfolio Carbon Emissions measures the scope 1 and scope 2 GHG emission for all the investments in the investee company per USD million invested by their equity ownership.

Dividend distribution history

Dividend Period End Date Dividend per unit Dividend paid out of net distributable income for the period Dividend effectively paid out of capital
Important notice
  • Principal Hong Kong Bond Fund (“Sub-Fund”) will invest primarily in Hong Kong dollar debt securities including government bonds, corporate bonds, floating rate notes, bills, commercial papers and certificates of deposit. It may also invest in assets denominated in other currencies. The Sub-Fund is therefore subject to interest rate risk, credit rick, currency risk, downgrading risk and liquidity risk.
  • For R6 Class Units of the Sub-Fund, dividend is not guaranteed.

^ The unit price of the fund is calculated on net asset value.

* The name of the funds is not indicative of the fund's performance and return.

This material is intended for general reference only. This material does not constitute an offer or solicitation or invitation or advice or recommendation to enter into any transactions. Investment involves risk. There is no assurance on investment returns. You should consider your own risk tolerance level and financial circumstances before making any investment choices. If you are in doubt as to whether a certain fund or product mentioned in this material is suitable for you, you should seek independent professional advice.

Issuer of this material
Principal Global Investors Funds, CCB Principal Selected Growth Mixed Asset Fund, CCB Principal Dual Income Bond Fund
Issuer: Principal Investment & Retirement Services Limited
Principal Life Style Fund, Principal Prosperity Series
Issuer: Principal Asset Management Company (Asia) Limited

This material has not been reviewed by the Securities and Futures Commission.

This site makes extensive use of Adobe® Acrobat® files. Adobe Acrobat can be downloaded free from www.adobe.com. Please note that this may take a short while to download.

Principal Hong Kong Bond Fund - Retail Class Units

Overview

NAV^
12.9248
As of 16/04/2026
Daily Change
-0.16%
As of 16/04/2026
Investment Objectives

To provide a return consisting of income and capital growth over medium to long term.

To provide a return consisting of income and capital growth over medium to long term.

Fund Information

as of 16/04/2026unless indicated otherwise
Series name
Asset class
Fund domicile
Hong Kong
Base Currency
HKD
HKD3,787.8 million As of 28/02/2026
3 years annualized volatility2
3.26 As of 28/02/2026
Ongoing charges over a year3
1.02%
Management fees
0.80% pa
Launch date
13/10/2011
Investment manager
Howe Chung Wan, Prakash Gopalakrishnan

Performance Chart

12.9248

NAV / unit
 

Fund Return

As of
Cumulative return table
Class

Geographic Allocation4

As of 13/10/2011
Hong Kong
70 - 100%
Others
0 - 30%

1. The Risk/Return Spectrum includes 4 levels of risks: Low, Moderate, Moderate to High and High. The classifications of Risk/Return Spectrum for each constituent fund are determined by the Investment Manager of the Scheme, Principal Asset Management Company (Asia) Limited, based on past volatility (i.e. annualized standard deviation of returns) and relative risk levels among the constituent funds in the Scheme. The classifications of Risk/Return Spectrum will be reviewed by the Investment Manager on an annual basis and are provided for reference only.

2. The 3 Years Annualized Volatility shows the risk of a constituent fund and is calculated as an annualized standard deviation based on the monthly rates of return of the constituent fund over the past three years. However, it is not required to indicate the 3 Years Annualized Volatility if the period between the reporting date of the website and the inception date for the fund is less than 3 years.

3. For Retail Class Units and R6 Class Units: the ongoing charges figures are based on expenses for the year ended 31 December 2024. These figures may vary from year to year.

4. Investors should note that (i) the above ranges of asset and geographic allocations are for indication only and long-term allocations may vary with changing market conditions; and (ii) the geographic allocation for equity investments is classified by the principal place of business of the issuers and the geographic allocation for debt investments is classified by their currency denomination.

Sustainability Characteristics

All data is sourced from MSCI based on the portfolio holdings as of 31/12/2024
105.18
Financed Carbon Emissions (tons CO2e / $M invested) ^
74
Financed Carbon Emissions Coverage

^ Total Portfolio Carbon Emissions measures the scope 1 and scope 2 GHG emission for all the investments in the investee company per USD million invested by their equity ownership.

Important notice
  • Principal Hong Kong Bond Fund (“Sub-Fund”) will invest primarily in Hong Kong dollar debt securities including government bonds, corporate bonds, floating rate notes, bills, commercial papers and certificates of deposit. It may also invest in assets denominated in other currencies. The Sub-Fund is therefore subject to interest rate risk, credit rick, currency risk, downgrading risk and liquidity risk.
  • For R6 Class Units of the Sub-Fund, dividend is not guaranteed.

^ The unit price of the fund is calculated on net asset value.

* The name of the funds is not indicative of the fund's performance and return.

This material is intended for general reference only. This material does not constitute an offer or solicitation or invitation or advice or recommendation to enter into any transactions. Investment involves risk. There is no assurance on investment returns. You should consider your own risk tolerance level and financial circumstances before making any investment choices. If you are in doubt as to whether a certain fund or product mentioned in this material is suitable for you, you should seek independent professional advice.

Issuer of this material
Principal Global Investors Funds, CCB Principal Selected Growth Mixed Asset Fund, CCB Principal Dual Income Bond Fund
Issuer: Principal Investment & Retirement Services Limited
Principal Life Style Fund, Principal Prosperity Series
Issuer: Principal Asset Management Company (Asia) Limited

This material has not been reviewed by the Securities and Futures Commission.

This site makes extensive use of Adobe® Acrobat® files. Adobe Acrobat can be downloaded free from www.adobe.com. Please note that this may take a short while to download.