E Fund (HK) Multi-Income Bond Fund
Investment Objectives and Strategy

Objectives and investment strategy

Objective

The investment objective of the Sub-Fund is to achieve long term capital growth through investing globally in a portfolio consisting primarily of debt securities denominated in USD, EUR, HKD or offshore RMB (“CNH”), which aim to generate a steady flow of income in addition to capital appreciation for the Sub-Fund. There can be no assurance that the Sub-Fund will achieve its investment objective.

Strategy

Investment Strategy

Principal investments

The Sub-Fund will invest at least 70% of its net asset value (“NAV”) in a portfolio of USD, EUR or HKD denominated or CNH denominated (“Dim Sum” bonds, i.e. bonds issued outside China but denominated in RMB) offshore debt securities issued or traded in the global debt securities markets, including in developed markets and emerging markets. Investments in emerging markets may constitute up to 100% of NAV.

The Sub-Fund will invest in a broadly diversified portfolio of debt securities with no fixed duration, term structure, geographical (subject to the limit in onshore RMB bonds stated below) or industry sector weightings. Selection of debt investments will be determined by the availability of attractive investment opportunities, where the Manager believes such debt securities are being traded at significant discount to their underlying intrinsic values.

The Sub-Fund may invest less than 30% of its NAV in onshore RMB bonds, via the mutual bond market access between Hong Kong and Mainland China (“Bond Connect”), the regime allowing foreign institutional investors to invest in the PRC inter-bank bond market (the “CIBM Regime”) and/or the Manager’s QFI status. The Sub-Fund’s total investments via QFI (in bonds and in equities as discussed below) will be less than 30% of its NAV.

The debt securities in which the Sub-Fund may invest shall include, but are not limited to, listed and unlisted bonds, government bonds, convertible bonds, fixed and floating rate bonds and high-yield bonds.

The Sub-Fund may invest all its assets in investment grade debt securities, or in debt securities which are unrated or rated below investment grade. For debt securities other than onshore RMB bonds, (i) a long-term debt security is considered investment grade if its credit rating is BBB- or higher by Standard & Poor's and Fitch Ratings or Baa3 or higher by Moody's or equivalent rating as rated by an international credit rating agency; and (ii) a short-term debt security is considered investment grade if its credit rating is A-3 or higher by Standard & Poor’s or F3 or higher by Fitch Ratings or P-3 or higher by Moody’s or equivalent rating as rated by an international credit rating agency. For onshore RMB bonds, investment grade bonds have a minimum credit rating of BBB- as rated by one of the credit rating agencies in China. For the purpose of the Sub-Fund, “unrated” refers to where neither the instrument itself nor its issuer has a credit rating assigned by international credit rating agencies. For a debt security which itself does not have a credit rating, the Manager will assess the debt security by reference to the credit rating of the issuer, the guarantor or the keepwell provider.

Up to 100% of the Sub-Fund’s NAV may be invested in convertible bonds (issued and/or guaranteed by issuers such as corporations, financial institutions and banks), including up to 20% in contingent convertible bonds (“CoCos”). CoCos may have non-viability and/or loss absorption convertible features, i.e. they are subject to compulsory conversion out of the issuer’s control. They are hybrid capital securities that absorb losses when the capital of the issuer falls below a certain level, and may be compulsorily redeemed upon the occurrence of a trigger event which may be out of the issuer’s control. They are risky and highly complex investment instruments. Under certain circumstances CoCos can be converted into shares of the issuing company, potentially at a discounted price, or cause the permanent write-down to zero of the principal investment and/or accrued interest such that the principal amount invested may be lost on a permanent or temporary basis. In the event convertible bonds are converted into shares resulting in deviation from the indicative asset allocation, the Manager will arrange for the shares to be sold within 10 business days.

The Sub-Fund will not invest more than 10% of its NAV in debt securities issued and/or guaranteed by a single sovereign issuer (including its government, public or local authority) which is below investment grade and/or unrated.
Under exceptional circumstances (e.g. market crash or major crisis) or adverse market conditions, the Sub-Fund may be invested temporarily up to 100% of its NAV in liquid assets such as bank deposits, certificates of deposit, commercial paper and treasury bills for cash flow management.

Equity securities

The Sub-Fund may also invest less than 30% of its NAV in shares of companies listed in Hong Kong, Singapore, Taiwan, the United States or Mainland China (including American Depositary Receipts and preference shares). Investments may be made in A-Shares listed on the Shanghai Stock Exchange or the Shenzhen Stock Exchange directly through the Shanghai-Hong Kong Stock Connect and the Shenzhen-Hong Kong Stock Connect or the Manager’s QFI status. This includes any listed equities the Sub-Fund may hold as a result of the conversion of the convertible bonds (including CoCos), i.e. the Sub-Fund’s aggregate exposure in equities will be less than 30% of the Sub-Fund’s NAV. The Sub-Fund will not hold equities that are unlisted.

Financial derivative instruments (“FDIs”) and other investments

The Sub-Fund may invest up to 20% of the NAV in sale and repurchase transactions. For the purpose of the Sub-Fund, sale and repurchase transactions are transactions where the Sub-Fund sells securities such as bonds for cash and simultaneously agrees to repurchase the securities from the counterparty at a pre-determined future date for a pre-determined price. A sale and repurchase transaction is economically similar to secured borrowing, with the counterparty of the Sub-Fund receiving securities as collateral for the cash that it lends to the Sub-Fund.
For sale and repurchase transactions, the Manager will seek to appoint independent counterparties approved by the Manager with credit rating of BBB- or above (by Moody's or Standard & Poor's, or any other equivalent ratings by recognised credit rating agencies) or which are SFC-licensed corporations or are registered institutions with the Hong Kong Monetary Authority. Any incremental income generated will be credited to the account of the Sub-Fund after deducting any fees charged by parties operating such transactions. It is the intention of the Manager to sell the securities for cash equal to the market value of the securities provided to the counterparty. Cash obtained in sale and repurchase transactions will be used for liquidity management, re-investment and hedging purposes. Where cash received by the Sub-Fund is used for re-investment, such cash may only be re-invested in accordance with Chapter 7 of the SFC’s Code on Unit Trusts and Mutual Funds (the “Code”) and the provisions set out under the section “Investment Objective, Strategy and Restrictions” in the Explanatory Memorandum.
The Sub-Fund may also invest in FDIs for hedging and investment purposes to the extent permitted by Chapter 7 of the Code and the provisions set out under the section “Investment Restrictions” in the Explanatory Memorandum.
The Sub-Fund may also invest in units in any unit trust or shares in any mutual fund corporation or any other collective investment scheme (including those managed by the Manager or its connected persons) authorised by the SFC or in recognised jurisdiction schemes and may hold cash, deposits, and other money market instruments (such as but not limited to treasury bills, commercial papers, certificates of deposit as considered appropriate by the Manager). The Sub-Fund will invest less than 30% of its NAV in the above instruments/investments.
The Sub-Fund will not invest in collateralised and/or securitised products (such as asset backed securities, mortgage backed securities and asset backed commercial papers). The Sub-Fund will not enter into any securities lending or reverse repurchase transactions or similar over-the-counter transactions. The Sub-Fund will not write options.

Fund Information

HKD
RMB
USD
Class A (Acc) RMB
Class A (Dis) RMB
Class A (Acc) Hedged RMB
Class A (Dis) Hedged RMB
Class I (Acc) RMB
Class I (Dis) RMB
Class A (Acc) USD
Class A (Dis) USD
Class A (Acc) HKD
Class A (Dis) HKD
Class I (Acc) USD
Class I (Dis) USD
Class I (Acc) Hedged RMB
Class I (Dis) Hedged RMB
Class I (Acc) HKD
Class I (Dis) HKD
Class X (Acc) HKD
Class X (Acc) Hedged RMB
Class X (Acc) USD
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
1% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(RMB)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591435
Bloomberg Ticker
EUAARAR HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
1% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(RMB)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591443
Bloomberg Ticker
EUADRAR HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
1% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(RMB)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591476
Bloomberg Ticker
EUAHRAH HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
1% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(RMB)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591484
Bloomberg Ticker
EUDHRAD HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.5% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(RMB)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591518
Bloomberg Ticker
EUIARIR HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.5% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(RMB)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591526
Bloomberg Ticker
EUIDRIR HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
22 Nov, 2021
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
1% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(USD)As of30 Aug, 2023 9.696 Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591450
Bloomberg Ticker
EUAAUAU HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
22 Nov, 2021
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
1% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(USD)As of30 Aug, 2023 9.696 Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591468
Bloomberg Ticker
EUADUAU HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
22 Nov, 2021
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
1% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(HKD)As of30 Aug, 2023 96.450 Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591492
Bloomberg Ticker
EUAAHAH HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
22 Nov, 2021
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
1% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(HKD)As of30 Aug, 2023 96.968 Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591500
Bloomberg Ticker
EUADHAH HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
20 Oct, 2021
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.5% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(USD)As of30 Aug, 2023 9.505 Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591534
Bloomberg Ticker
EUIAUIU HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.5% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(USD)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591542
Bloomberg Ticker
EUIDUIU HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.5% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(RMB)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591559
Bloomberg Ticker
EUAHRIH HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.5% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(RMB)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591567
Bloomberg Ticker
EUDHRIH HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.5% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(HKD)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591575
Bloomberg Ticker
EUIAHIH HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.5% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(HKD)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000591583
Bloomberg Ticker
EUIDHIH HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.25% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(HKD)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000815297
Bloomberg Ticker
EUIAHXU HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.25% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(RMB)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000815289
Bloomberg Ticker
EUAHRXH HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.
Manager
E Fund Management (Hong Kong) Co., Limited
Inception Date
Not yet launched
Base Currency
USD Management Fee*
(% Net Asset Value of the Sub-Fund per annum)
0.25% (up to 3%)
Performance Fee
Nil Trustee Fee
Annually 0.08%*
Subscription Fee
Up to 3% Switching Fee
Nil
Redemption Fee
Nil Dealing & Trading Frequency
Daily
Current NAV(USD)As of30 Aug, 2023 NA Trustee
CCB (Asia) Trustee Company Limited
Historical NAV
Download ISIN Code
HK0000815271
Bloomberg Ticker
EUIAUXU HK
*Please note that these fees may be increased up to a permitted maximum on giving 1 month’s notice to unitholders. Please refer to the section of the prospectus entitled “Fees and Expenses” for further details of the fees and charges payable.

Disclaimer
E Fund Management (Hong Kong) Co., Limited is the issuer of this report. This report is neither an offer nor solicitation to purchase units of the fund; applications for units may only be made on forms of application available with the Explanatory Memorandum. Investments are subject to investment risks, fund value may go up as well as down and past performance is not indicative of future performance. Investors should read carefully the Explanatory Memorandum (including the section “Risk Factors”) for the relevant risks associated with the investment in the fund before investing.
Distribution of this report may be restricted in certain jurisdictions. This report does not constitute the distribution of any information or the making of any offer or solicitation by anyone in any jurisdiction in which such distribution or offer is not authorized or to any person to whom it is unlawful to distribute such a report or make such an offer or solicitation. This report is exempted from pre-vetting and authorization by the Securities and Futures Commission of Hong Kong and has not been reviewed by the Securities and Futures Commission of Hong Kong.
SFC authorization is not a recommendation or endorsement of a scheme nor does it guarantee the commercial merits of a scheme or its performance. It does not mean the scheme is suitable for all investors nor is it an endorsement of its suitability for any particular investor or class of investors.



Important information
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By proceeding to access information contained herein, users are deemed to be representing and warranting that they are either Hong Kong residents or are observing the applicable laws and regulations of their relevant jurisdictions.
Terms and Conditions

E Fund Management (Hong Kong) Co., Limited does not make representation that information and materials on this site are appropriate for use in all jurisdictions available on the web, or that transactions, securities, products, instruments or services offered on this site are available or indeed appropriate for sale or use in all jurisdictions, or by all investors or other potential clients. Those who access this site do so on their own initiative, and are therefore responsible for compliance with applicable local laws and regulations. By accessing each site, the entrant has agreed that he/she has reviewed the site in its entirety including any legal or regulatory jurisdictions.

To the best of its knowledge and belief, E Fund Management (Hong Kong) Co., Limited considers the information contained herein is accurate as at the date of publication. However, no warranty is given on the accuracy, adequacy or completeness of the information provided by third party. Neither E Fund Management (Hong Kong) Co., Limited, nor its affiliates, directors and employees assume any liabilities in respect of any errors or omissions provided by third party on this website. Under no circumstances should this information or any part of it be copied, reproduced or redistributed.

Investors should note investment involves risk. The price of units may go down as well as up and past performance is not indicative of future results. Investors should read the explanatory memorandum for details and risk factors in particular those associated with investment in emerging markets. Investors should not only base on this marketing material alone to make investment decisions. This website has not been reviewed by the Securities and Futures Commission of Hong Kong. Issuer: E Fund Management (Hong Kong) Co., Limited


The information provided herein is for informational purposes only and is not intended to provide professional advice and should not be relied upon in that regard. Persons accessing these pages are advised to obtain appropriate professional advice where necessary. Information posted on this site is current only as at the date of posting and may no longer be true or complete when viewed by you. All information contained herein may be changed or amended without prior notice, although E Fund Management (Hong Kong) Co., Limited does not undertake to update this site regularly.
Should the viewer leave this site via a link contained herein, and view content that is not provided by the E Fund Management (Hong Kong) Co., Limited, the viewer does so at its own risk. E Fund Management (Hong Kong) Co., Limited is not responsible for damages or losses caused by any delays, defects or omissions that may exist in the services, information or other content provided in such site, whether actual, alleged, consequential or punitive. E Fund Management (Hong Kong) Co., Limited makes no guarantees or representations as to, and shall have no liability for, any electronic content delivered by any third party or have any responsibility, including without limitation, the accuracy, subject matter, quality or timeliness of any electronic content.
Trademarks, Copyrights and other Intellectual Property


All copyright, patents, intellectual and other property rights in connection with the information contained herein are owned by E Fund Management (Hong Kong) Co., Limited or its affiliates. No rights of any kind are licensed, assigned or shall otherwise pass to persons accessing this


Jurisdiction and Governing Law


These Terms shall be governed by, and shall be construed in accordance with, the laws of Hong Kong.  The courts of Hong Kong shall have non-exclusive jurisdiction to hear and determine any suit, action or proceeding, and to settle any disputes, which may arise out of or in connection with these Terms and, for such purposes, you agree to submit  to the jurisdiction of the courts of Hong Kong.  Each party hereby waives any objection which it might at any time have to the courts of Hong Kong being nominated as the forum to hear and determine any proceedings and to settle any disputes and agrees not to claim that the courts of Hong Kong are not a convenient or appropriate forum.