Fund Information
                                                               
                                                               

                                                              Extra Remark B

                                                              All performance figures above are calculated on the basis of NAV-to-NAV in HK$ and are net of the management fees and operating expenses except Asian Income Retirement Fund (where applicable). For Asian Income Retirement Fund, its performance figures are calculated on the basis of NAV-to-NAV in HK$ without dividend reinvested and are net of management fees and operating expenses.


                                                              Fund Performance Return % as at 28 Feb 2025

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