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Prices and Performance





Principal MPF Schemes Series 800
Constituent Funds^^ Risk Class# Inception date Unit Price (HK$)*
(As at 02/04/2025)
Cumulative Return**
(As at 31/03/2025)
YTD % 1 Year % 3 Year % 5 Year %
Default Investment Strategy (DIS)
Principal Age 65 Plus Fund (DIS) - N 4 01/04/2017 11.8277 0.8482^ 2.6016^ 0.9605^ 8.9056^
Principal Core Accumulation Fund (DIS) - N 5 01/04/2017 15.4609 -0.2341^ 3.5152^ 9.7649^ 46.6895^
Mixed Assets Funds
Principal Age 65 Plus Fund - N 4 03/04/2017 11.8277 0.8482^ 2.6016^ 0.9605^ 8.9056^
Principal Core Accumulation Fund - N 5 03/04/2017 15.4609 -0.2341^ 3.5152^ 9.7649^ 46.6895^
Principal Global Growth Fund - D 5 01/12/2000 28.5291 3.0776 7.6670 4.8408 31.2474
Principal Global Growth Fund - I 5 01/12/2000 27.6883 3.0266 7.4502 4.2038 29.9087
Principal Long Term Accumulation Fund - D 5 01/12/2000 21.6367 2.7979 5.3164 1.0892 17.5134
Principal Long Term Accumulation Fund - I 5 01/12/2000 20.9990 2.7471 5.1046 0.4761 16.3167
Principal Stable Yield Fund - D 4 01/12/2000 18.8653 2.4775 3.2838 -1.6756 5.7982
Principal Stable Yield Fund - I 4 01/12/2000 18.3113 2.4269 3.0759 -2.2739 4.7217
Principal Aggressive Strategy Fund - D 5 22/10/2020 27.3768 3.3613 9.8774 8.3986 N/A
Principal Aggressive Strategy Fund - I 5 22/10/2020 26.9135 3.3097 9.6549 7.7225 N/A
Equity Funds
Principal Asian Equity Fund - D 6 01/12/2000 47.8693 0.4603 6.8698 0.2150 47.5698
Principal Asian Equity Fund - I 6 01/12/2000 45.7170 0.4132 6.6654 -0.3680 46.0435
Principal China Equity Fund - D 7 01/08/2007 13.9757 13.5138 35.6926 -3.1490 -2.6406
Principal China Equity Fund - I 7 01/08/2007 13.3461 13.4606 35.4333 -3.7229 -3.6632
Principal Hong Kong Equity Fund - D 7 01/09/2006 25.8563 15.7240 37.9589 3.4754 5.9644
Principal Hong Kong Equity Fund - I 7 01/09/2006 25.2642 15.6952 37.8197 3.1579 5.4321
Principal International Equity Fund - D 6 01/12/2000 27.5493 -1.6975 -1.9121 13.7516 90.1631
Principal International Equity Fund - I 6 01/12/2000 26.3157 -1.7435 -2.0994 13.0988 88.2124
Principal US Equity Fund - D 6 01/12/2000 34.4595 -4.3805 5.6172 22.4427 110.6225
Principal US Equity Fund - I 6 01/12/2000 32.9228 -4.4253 5.4152 21.7396 108.4632
Bond Funds
Principal Hong Kong Bond Fund - N 3 01/02/2012 11.8073 2.1648 5.7622 5.9858 2.6016
Principal International Bond Fund - D 4 01/12/2000 15.9980 2.5341 0.1866 -7.7043 -12.4485
Principal International Bond Fund - I 4 01/12/2000 15.8244 2.5341 0.1864 -7.7006 -12.4341
Principal Asian Bond Fund - N 4 22/10/2020 9.9142 2.4506 4.7477 3.8737 N/A
Others
Principal Hang Seng Index Tracking Fund - N 7 01/02/2012 14.7260 15.6334 44.6183 14.4784 10.9670
Principal HK Dollar Savings Fund - D 2 01/12/2000 12.1861 1.2543 4.2846 8.6266 8.2407
Principal HK Dollar Savings Fund - I 2 01/12/2000 12.1097 1.2443 4.2427 8.4954 8.0561
Principal MPF Conservative Fund - N 1 01/12/2000 12.4422 0.7865 3.3112 8.0183 8.2873


For the relevant performance of Principal Aggressive Strategy Fund before and after the merger of Principal MPF Schemes Series 600 into Principal MPF Schemes Series 800 with effect from 22 October 2020, please refer to the latest Principal MPF Scheme Series 800 - Monthly Performance Review.

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

**  Source: Principal Asset Management Company (Asia) Limited, NAV-NAV, in fund currency.

Please note that Cumulative Return information of the constituent fund will be included in this website after the constituent fund has an investment track record of up to 6 months after its inception date.

^^  All references to units (except for Principal Aggressive Strategy Fund) of each of the Principal MPF Conservative Fund, the Principal Hang Seng Index Tracking Fund, the Principal Hong Kong Bond Fund, the Principal Core Accumulation Fund, the Principal Age 65 Plus Fund, the Principal Asian Bond Fund and any other Constituent Funds established on or after 1 April 2017 shall mean Class N units of that Constituent Fund; and all references to units of each of the other Constituent Funds (including Principal Aggressive Strategy Fund) shall mean Class D units and/or Class I units of that Constituent Fund, as the context may require. The Trustee, however, reserves the right to issue additional classes of units of any of the Constituent Funds in the future.
A Risk Class is mapped according to the seven-point risk classification below based on the latest Fund Risk Indicator of the constituent fund. Generally, the greater the Risk Class, the greater the annualized standard deviation, hence the more volatile the fund. However, it is not required to indicate the Risk Class if the Fund Risk Indicator is not available. The Risk Class is prescribed by Mandatory Provident Fund Schemes Authority according to Code on Disclosure for MPF Investment Funds (the "Code"), please refer to the Code for details. The risk class has not been reviewed or endorsed by the Securities and Futures Commission.
Risk Class 1 2 3 4 5 6 7
Fund Risk Indicator
Equal or above 0.0% 0.5% 2.0% 5.0% 10.0% 15.0% 25.0%
Less than 0.5% 2.0% 5.0% 10.0% 15.0% 25.0% N/A

The Fund Risk Indicator 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 fund risk indicator if the period between the reporting date of the fund fact sheet and the inception date for the fund is less than 3 years.

For all unit classes, fund performance is shown in fund currency and is calculated based on NAV to NAV, dividend reinvested.(Note: For Class I Units, the NAV before 30 December 2011 do not reflect the fees and charges that were deducted from members’ accounts by way of unit deduction. Therefore, performance figures shown include adjustments to reflect such unit deduction for class I Units from inception date to 29 December 2011. All performance figures following 30 December 2011 are calculated based on NAV to NAV.)

Investment involves risks and past performance is not indicative of future performance. The value of the funds may go up or down. Your investment may suffer significant loss. There is no assurance on investment returns and you may not get back the amount originally invested. You should not invest in reliance on this website. You should read the MPF Scheme Brochure/Explanatory Memorandum of the MPF Schemes for further details (including investment policy, risk factors, fee and charges of the constituent funds.)

You should consider your own tolerance level And financial circumstances before investing in the Default Investment Strategy (DIS). You should note that the Principal Core Accumulation Fund And the Principal Age 65 Plus Fund may Not be suitable for you, And there may be a risk mismatch between the Principal Core Accumulation Fund And the Principal Age 65 Plus Fund And your risk profile (the resulting portfolio risk may be greater than your risk preference). You should seek financial And/Or professional advice if you are in doubt as to whether the DIS Is suitable for you, And make the investment decision most suitable for you taking into account your circumstances.

You should note that the implementation of the DIS may have an impact on your MPF investments And benefits. You should consult with the Trustee if you have doubts on how you are being affected.

In the event that you do Not make any investment choices, please be reminded that any contributions made And/Or benefits transferred into this Scheme will be invested into the DIS.

Source of data: Principal Asset Management Company (Asia) Limited.