#

Important Risk Disclosure

Important Notes:

CUAM Stable Income Fund (the "Fund") seeks to provide investors with a stable return by primarily investing in a portfolio of debt securities instruments.

Investors should note that the Fund is a monthly dealing sub-fund. Investors subscribing for Units issued under the Fund can only apply for subscription and redemption once a month on the Dealing Day. Further, Units issued under the Fund cannot be switched into Units of other sub-funds established under China Universal International Series. As such, Units of the Fund would have lower liquidity when compared to the Units issued by other daily dealing sub-funds established under China Universal International Series.

Due to the Fund's monthly dealing arrangement, subscription and redemption applications for Units issued under the Sub-Fund can be more concentrated on the single Dealing Day in each month. Where redemption applications are concentrated on the Dealing Day, it may cause the Fund’s redemption gate to be triggered more easily on the Dealing Day. The Manager will consider different factors including but not limited to the Fund's liquidity profile when deciding whether to exercise its powers to impose a redemption gate on any Dealing Day if the number of Units being realised on the Dealing Day for the Fund has exceeded 10% of the total number of Units of the Fund in issue.

Investment involves risk. Investors may suffer substantial loss of their investments in the Fund.

Investors should not only base on the information on this website alone to make investment decisions and should refer to the Fund's offering documents, including the Explanatory Memorandum/Prospectus and the Product Key Facts Statement for further details (including the risk factors). Where necessary, please seek professional advice.

Fund Information

Fund Name CUAM Stable Income Fund
Base Currency USD
Dealing Frequency Monthly (20th calendar day of each month, or the immediately following Business Day^, if such date is not a Business Day)
Fund Manager China Universal Asset Management (Hong Kong) Company Limited
Trustee BOCI- Prudential Trustee Limited
Custodian Bank of China (Hong Kong) Limited
Unit Class I Class A Class
ISIN Code USD HK0001095386 USD HK0001095352
HKD HK0001095394 HKD HK0001095360
RMB HK0001095402 RMB HK0001095378
Bloomberg Code USD CMSFIUS HK USD CMSIAUS HK
HKD CUSIIHK HK HKD CUSIAHK HK
RMB CMSIIRM HK RMB CMSIARM HK
Subscription Fee Up to 5% Up to 5%
Redemption Fee 0% 0%
Management Fee 0.50%p.a.* 0.75%p.a.*
Performance Fee Not applicable Not applicable
Minimum Investment USD 1,000 or HKD 10,000 or RMB 10,000 USD 1 or HKD 1 or RMB 1
Minimum Realisation USD 1,000 or HKD 10,000 or RMB 10,000 USD 1 or HKD 1 or RMB 1
Minimum Holding USD 1,000 or HKD 10,000 or RMB 10,000 USD 1 or HKD 1 or RMB 1

^ “Business Day” means a day (other than a Saturday or Sunday) on which the SEHK is open for trading in Hong Kong or such other day or days as the Manager and the Trustee may agree from time to time.

*The current annual rate may be increased up to the specified permitted maximum level as set out in the Explanatory Memorandum by giving not less than one month's prior notice to the investors.

NAV Chart

  • CLASS A (USD)
  • CLASS A (HKD)
  • CLASS A (RMB)
  • CLASS I (USD)
  • CLASS I (HKD)
  • CLASS I (RMB)
  • 1M
  • 3M
  • 6M
  • 1Y
  • Since Inception

Source : China Universal Asset Management (Hong Kong) Company Limited.

NAV per unit

Fund Name Date NAV per unit
CUAM Stable Income Fund (Class A) USD 2026-04-02 USD 1.0091
CUAM Stable Income Fund (Class A) HKD 2026-04-02 HKD 10.1559
CUAM Stable Income Fund (Class A) RMB 2026-04-02 RMB 10.0379
CUAM Stable Income Fund (Class I) USD 2026-04-02 USD 1.0680
CUAM Stable Income Fund (Class I) HKD 2026-04-02 HKD 10.7518
CUAM Stable Income Fund (Class I) RMB 2026-04-02 RMB 10.0680

Remarks:

Investment involves risk. The NAV per Unit is for reference only and not indicative for the future performance. The value of units may rise as well as fall.

Class A USD units launch date:20 January 2025

Class A HKD units launch date:20 January 2025

Class A RMB units launch date:20 January 2025

Class I USD units launch date:20 January 2025

Class I HKD units launch date:20 January 2025

Class I RMB units launch date:20 January 2025

Cumulative return

Fund Name YTD 1M 3M 6M 1Y 3Y 5Y Since Inception
CUAM Stable Income Fund (Class A) USD 0.03% -1.07% 0.03% 1.17% 4.89% -- -- 6.24%
CUAM Stable Income Fund (Class A) HKD 0.76% -0.88% 0.76% 1.94% 5.72% -- -- 6.99%
CUAM Stable Income Fund (Class A) RMB -0.93% -0.25% -0.93% -1.83% -0.11% -- -- 0.36%
CUAM Stable Income Fund (Class I) USD 0.10% -1.04% 0.10% 1.30% 5.16% -- -- 6.56%
CUAM Stable Income Fund (Class I) HKD 0.82% -0.86% 0.82% 2.07% 5.98% -- -- 7.31%
CUAM Stable Income Fund (Class I) RMB -0.87% -0.22% -0.87% -1.71% 0.14% -- -- 0.66%

As of 31 Mar 2026

Annual Return

As the Fund is newly established, there is insufficient data to provide a useful indication of past performance to investors.

Remarks:

Past performance information is not indicative of future performance. Investors may not get back the full amount invested. The computation basis of the performance is based on the last Business Day of the calendar year / period, NAV-To-NAV, with dividend reinvested (if any). These figures show by how much the units of each unit class of the Fund increased or decreased in value during the calendar year / period being shown. Performance data has been calculated in the respective unit class currency of the Fund, including ongoing charges and excluding subscription fee and redemption fee you might have to pay. Where no past performance is shown, there was insufficient data available to provide performance during the calendar year / period being shown.

The Fund launch date: 20 January 2025

Class A USD units launch date:20 January 2025

Class A HKD units launch date:20 January 2025

Class A RMB units launch date:20 January 2025

Class I USD units launch date:20 January 2025

Class I HKD units launch date:20 January 2025

Class I RMB units launch date:20 January 2025

Distribution History

For the period of Unit Class Dividend Record Date Ex-Dividend Date Dividend Payment Date Dividend paid out of net distributable income* (%) Dividend paid out of capital (%) Dividend per unit
Mar-2026 Class A USD 2026/03/09 2026/03/10 2026/03/13 100% 0% USD 0.0042
Mar-2026 Class A HKD 2026/03/09 2026/03/10 2026/03/13 100% 0% HKD 0.0427
Feb-2026 Class A USD 2026/02/09 2026/02/10 2026/02/13 91.71% 8.29% USD 0.0042
Feb-2026 Class A HKD 2026/02/09 2026/02/10 2026/02/13 90.99% 9.01% HKD 0.0425
Jan-2026 Class A USD 2026/01/08 2026/01/09 2026/01/14 37.25% 62.75% USD 0.0042
Jan-2026 Class A HKD 2026/01/08 2026/01/09 2026/01/14 37.03% 62.97% HKD 0.0423
Dec-2025 Class A USD 2025/12/11 2025/12/12 2025/12/17 100% 0% USD 0.0042
Dec-2025 Class A HKD 2025/12/11 2025/12/12 2025/12/17 100% 0% HKD 0.0423
Nov-2025 Class A USD 2025/11/11 2025/11/12 2025/11/17 100% 0% USD 0.0042
Nov-2025 Class A HKD 2025/11/11 2025/11/12 2025/11/17 100% 0% HKD 0.0423
Oct-2025 Class A USD 2025/10/10 2025/10/13 2025/10/15 100% 0% USD 0.0042
Oct-2025 Class A HKD 2025/10/10 2025/10/13 2025/10/15 100% 0% HKD 0.0424
Sep-2025 Class A USD 2025/09/12 2025/09/15 2025/09/17 100% 0% USD 0.0042
Sep-2025 Class A HKD 2025/09/12 2025/09/15 2025/09/17 100% 0% HKD 0.0427
Aug-2025 Class A USD 2025/08/12 2025/08/13 2025/08/15 100% 0% USD 0.0042
Aug-2025 Class A HKD 2025/08/12 2025/08/13 2025/08/15 100% 0% HKD 0.0425
Jul-2025 Class A USD 2025/07/11 2025/07/14 2025/07/16 100% 0% USD 0.0042
Jul-2025 Class A HKD 2025/07/11 2025/07/14 2025/07/16 100% 0% HKD 0.0424
Jun-2025 Class A USD 2025/06/12 2025/06/13 2025/06/17 100% 0% USD 0.0042
Jun-2025 Class A HKD 2025/06/12 2025/06/13 2025/06/17 100% 0% HKD 0.0420
May-2025 Class A USD 2025/05/13 2025/05/14 2025/05/16 100% 0% USD 0.0041
May-2025 Class A HKD 2025/05/13 2025/05/14 2025/05/16 100% 0% HKD 0.0413
Apr-2025 Class A USD 2025/04/11 2025/04/14 2025/04/16 99.81% 0.19% USD 0.0042
Apr-2025 Class A HKD 2025/04/11 2025/04/14 2025/04/16 99.95% 0.05% HKD 0.0419
Mar-2025 Class A USD 2025/03/14 2025/03/17 2025/03/19 100% 0% USD 0.0042
Mar-2025 Class A HKD 2025/03/14 2025/03/17 2025/03/19 100% 0% HKD 0.0420

* “Net distributable income” means the net investment income (i.e. dividend income and interest income net of fees and expenses) attributable to the relevant share class and may also include net realised gains (if any) based on unaudited management accounts. However, “net distributable income” does not include net unrealised gains.

The Manager may, at its discretion, pay dividend out of the capital of the Fund or pay dividend out of gross income while charging/paying all or part of the Fund’s fees and expenses to/out of the capital of the Fund, resulting in an increase in distributable income for the payment of dividends by the Fund, and therefore, the Fund may effectively pay dividend out of capital. Payment of dividends out of capital or effectively out of capital amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Such distributions will result in an immediate reduction in the net asset value per unit of the Fund.

Dividend paid or payable are not in any way a forecast or projection of the future or likely performance of the Fund or dividend payments. The making of such payment should not be taken to imply that future dividend payments will be made. Investment involves risks. The past performance is not indicative of future performance. The Manager has discretion as to whether or not to make any distribution of dividends, the frequency of distribution and amount of dividends. Please note that a positive distribution yield does not imply a positive return. Investors should not make any investment decision solely based on information contained in the table above. You should read the relevant offering document (including the key facts statement) of the Fund for further details including the risk factors.

Fund Documents

Document Name Issue Date Download
CUAM Stable Income Fund – KFS 2025-07-02 Download
CHINA UNIVERSAL INTERNATIONAL SERIES - EXPLANATORY MEMORANDUM 2025-07-02 Download

Fund Fact Sheet

Document Name Issue Date Download
Factsheet 2026-02-27 Download

Other Documents

Document Name Issue Date Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – March 2026 2026-03-05 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – February 2026 2026-02-05 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – January 2026 2026-01-05 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – December 2025 2025-12-08 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – Nov 2025 2025-11-07 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – Oct 2025 2025-10-08 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – September 2025 2025-09-08 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – 2025 Aug 2025-08-07 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – 2025 July 2025-07-07 Download
China Universal International Series – Updates to the dealing arrangements on Severe Weather Days and other changes 2025-07-02 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – June 2025-06-09 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – 2025 May 2025-05-07 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – 2025 Apr 2025-04-07 Download
Notice to Unitholder - CUAM Stable Income Fund Dividend Distribution – March 2025 2025-03-07 Download

Disclaimer:

Investment involves risks. The unit price of the Fund may go down as well as up and the past performance of the Fund does not indicate future return. Investment returns are denominated in the relevant unit class currency of the Fund. Where the unit class currency is not US/HK Dollars, US/HK Dollar-based investors are exposed to exchange rate fluctuations.

Investors should refer to the offering documents of the Fund, including the Explanatory Memorandum/Prospectus and Product Key Facts Statement, for further details and the risk factors in particular those risks involved in investing in emerging market.

This website has been prepared by China Universal Asset Management (Hong Kong) Company Limited and has not been reviewed by the Hong Kong Securities and Futures Commission.