Variable Life Fund
- Cocolife Global Consumer Trends Fund
- Cocolife Asian Multi-Asset Fund
Cocolife Global Consumer Trends Fund
Be a step closer to reaching your financial goals by investing in the Cocolife Global Consumer Trends Fund. It is a dynamically managed variable life insurance investment fund that seeks to achieve long-term capital growth by investing its assets in companies that cater to the discretionary needs of consumers.
FUND OBJECTIVE:
The COCOLIFE Global Consumer Trends Fund is a dynamically managed variable life insurance investment fund that seeks to achieve long-term capital growth by investing its assets in companies that cater to the discretionary needs of consumers.
FUND SUITABILITY:
The COCOLIFE Global Consumer Trends Fund is suitable for the following:
• Investors with a long-term investment horizon
• Investors seeking to invest in equity securities of global companies providing products and services related to the discretionary consumer needs of individuals
• Investors with an aggressive risk appetite
INDICATIVE COMPOSITION:
The fund aims to achieve long-term capital growth by tracking the performance of global companies, mainly in the U.S., by investing in large companies following the consumer trends. As of 2022, the fund has main exposure in sectors under E-Commerce, Video Gaming, Entertainment – Video Streaming and Digital Media, Travel, and Automobile.
Cocolife Asian Multi-Asset Fund
Unlock the full potential of your hard-earned money with the Cocolife Asian Multi-Asset Income Fund. It is a dynamically managed variable life insurance investment fund that seeks to achieve capital growth and income over medium to longer term horizon by investing its assets in Asian fixed income and equities.
FUND OBJECTIVE:
The COCOLIFE Asian Multi-Asset Income Fund is a dynamically managed variable life insurance investment fund that seeks to achieve capital growth and income over medium to longer term horizon by investing its assets in Asian fixed income and equities.
FUND SUITABILITY:
The COCOLIFE Asian Multi-Asset Income Fund is suitable for the following:
• Investors with a long-term investment horizon
• nvestors seeking broad market exposure to debt securities and equity securities of companies in the Asia-Pacific
• Investors with an aggressive risk appetite
INDICATIVE COMPOSITION:
The fund aims to achieve long-term capital growth by tracking the performance of global companies, mainly in the U.S., by investing in large companies following the consumer trends. As of 2022, the fund has main exposure in sectors under E-Commerce, Video Gaming, Entertainment – Video Streaming and Digital Media, Travel, and Automobile.