Dear Valued Unitholder
Annual Report of Manulife Funds
Thank you for investing in Manulife Funds.
We are pleased to inform you that the annual report for the financial period ended 31 December 2018 for Manulife Funds will be available on our website at from 31 March 2019.
The sub-funds under Manulife Funds are as follows:
(a) Manulife Singapore Bond Fund;
(b) Manulife Singapore Equity Fund;
(c) Manulife Asian Small Cap Equity Fund;
(d) Manulife Asia Pacific Investment Grade Bond Fund;
(e) Manulife Global Asset Allocation – Managed Growth Fund;
(f) Manulife Global Asset Allocation – Growth Fund; and
(g) Manulife SGD Income Fund.
If you require a printed copy of the annual report and/or wish to receive printed copies going forward, please contact the distributor through whom you had purchased your units of the sub-fund(s) within 1 month from the date of this letter. The report(s) will be sent to you at no charge.
Once again, thank you for your valuable support and we look forward to be of continued service to you.
Manulife Asset Management (Singapore) Pte. Ltd.
The information provided on this website is for informational purposes only and is intended solely for use by Singapore residents and is not intended for distribution to, or use by, any person or entity in the United States, or any jurisdiction or country where such distribution or use would be contrary to law or regulation, or which would subject Manulife Investment Management (Singapore) Pte. Ltd. (Company Registration No. 200709952G) and/or its affiliates (collectively hereafter "Manulife") or any of Manulife's products or services to any registration requirement within such jurisdiction or country. Nothing on this website shall be construed as financial advice or an offer, invitation, solicitation or recommendation by or on behalf of Manulife to any person to buy or sell any Fund and is no indication of trading intent in any Fund managed by Manulife. None of the information or analyses presented are intended to form the basis for any investment decision, and no specific recommendations are intended.
Investments in any Fund are not deposits in, guaranteed or insured by Manulife and involve risks. The value of units in any Fund and any income accruing to it may fall or rise. Past performance of the Fund is not necessarily indicative of future performance. The Fund may use or invest in financial derivative instruments. Investors should read the prospectus and seek advice from a financial adviser, before deciding whether to subscribe for or purchase units in any Fund. In the event an investor chooses not to seek advice from a financial adviser, he should consider whether the Fund(s) is/are suitable for him. Copies of the prospectus and the product highlights sheets can be obtained from Manulife or its distributors, for further details (including the risk factors) and charges.
The Manager shall have the absolute discretion to determine whether a distribution is to be made in respect of any Fund as well as the rate and frequency of distributions to be made. The intention of the Manager to make the distribution and the distribution yield for the Fund is not guaranteed, and the Manager may review the distribution policy depending on prevailing market conditions. Distributions may be made out of income, net capital gains and/or capital. Past distribution yields and payments are not necessarily indicative of future distribution yields and payments. Any payment of distributions by the Fund may result in an immediate decrease in the net asset value per unit.
All advertisements or publications provided on this website have not been reviewed by the Monetary Authority of Singapore.
Manulife Investment Management (Singapore) Pte. Ltd. (Company Registration No. 200709952G)