|
Fund Type |
Fixed Income |
|
Launch Date |
29 July 2025 |
|
Accounting Currency |
USD |
|
Domicile |
Hong Kong |
|
Legal Structure |
Unit Trust |
|
CE No. |
BWG025 |
|
Fund Manager |
Fullgoal Asset Management (HK) Limited |
|
Fund Custodian |
Bank of China (Hong Kong) Limited |
|
Portfolio Manager |
GUO Zikun, LIANG Lianjin |
|
ISIN |
Class A USD (DIST): HK0001176517 Class B USD (DIST): HK0001176681 |
|
Bloomberg Ticker |
Class A USD (DIST): FULIGBA HK Class B USD (DIST): FULIGBB HK |
|
Subscription/Redemption |
Daily |
|
Net Asset Value* |
Class A USD (DIST): Class B USD (DIST): |
|
Management Fee |
Class A: 0.8% per annum of the Net Asset Value of the Fund. Class I: 0.5% per annum of the Net Asset Value of the Fund. Class S: 0.2% per annum of the Net Asset Value of the Fund. Class B: 0.1% per annum of the Net Asset Value of the Fund. |
|
Subscription Fee |
All Classes: Maximum 3% of the total subscription amount |
|
Redemption Fee |
None |
* As of
