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Important Risk Disclosure

Important Notes:

CUAM USD Money Market Fund (the "Fund") seeks to invest in short-term deposits and high quality money market investments and achieve a return in US Dollars in line with prevailing money market rates.

Investors should note that purchase of a unit in the Fund is not the same as placing funds on deposit with a bank or deposit-taking company, that the Manager has no obligation to redeem units at the offer value, and that the Fund is not subject to the supervision of the Hong Kong Monetary Authority. The Fund does not have a constant net asset value and does not guarantee the repayment of investment principal.

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 USD Money Market Fund
Base Currency USD
Dealing Frequency Daily(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 P Class N Class
ISIN Code USD HK0000911484 USD HK0000911476 USD HK0000935624 USD HK0001016796
HKD HK0000911500 HKD HK0000911492 HKD HK0000935632 HKD HK0001016804
Bloomberg Code USD CUASMMA HK USD CAUMKLS HK USD CUMMMPU HK USD CUMMFNU HK
HKD CUAMUSM HK HKD CUAMKKS HK HKD CUAMMPH HK HKD CUMMFNH HK
Subscription Fee 0% Up to 3% Up to 2% 0%
Redemption Fee 0% 0% 0% 0%
Management Fee 0.10%p.a.* 0.30%p.a.* 0.60%p.a.* 0%p.a.*
Performance Fee Not applicable Not applicable Not applicable Not applicable
Minimum Investment HKD 10,000 or USD 1,000 HKD 1 or USD 1 HKD 1 or USD 1 HKD 10,000 or USD 1,000
Minimum Realisation HKD 10,000 or USD 1,000 HKD 1 or USD 1 HKD 1 or USD 1 HKD 10,000 or USD 1,000
Minimum Holding HKD 10,000 or USD 1,000 HKD 1 or USD 1 HKD 1 or USD 1 HKD 10,000 or USD 1,000

*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 I (USD)
  • CLASS I (HKD)
  • CLASS P (USD)
  • CLASS P (HKD)
  • CLASS N (USD)
  • CLASS N (HKD)
  • 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 USD Money Market Fund (Class A) USD 2026-04-08 USD 11.4748
CUAM USD Money Market Fund (Class A) HKD 2026-04-08 HKD 11.4477
CUAM USD Money Market Fund (Class I) USD 2026-04-08 USD 11.5447
CUAM USD Money Market Fund (Class I) HKD 2026-04-08 HKD 11.5165
CUAM USD Money Market Fund (Class P) USD 2026-04-08 USD 11.2770
CUAM USD Money Market Fund (Class P) HKD 2026-04-08 HKD 11.2700
CUAM USD Money Market Fund (Class N) USD 2026-04-08 USD 10.9051
CUAM USD Money Market Fund (Class N) HKD 2026-04-08 HKD 10.9483

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 HKD units launch date:27 April 2023

Class A USD units launch date:27 April 2023

Class I HKD units launch date:27 April 2023

Class I USD units launch date:27 April 2023

Class P HKD units launch date: 3 July 2023

Class P USD units launch date: 3 July 2023

Class N HKD units launch date: 20 May 2024

Class N USD units launch date: 20 May 2024

Cumulative return

Fund Name YTD 1M 3M 6M 1Y 3Y 5Y Since Inception
CUAM USD Money Market Fund (Class A) USD 0.86% 0.29% 0.86% 1.83% 4.01% -- -- 14.66%
CUAM USD Money Market Fund (Class A) HKD 1.58% 0.48% 1.58% 2.56% 4.80% -- -- 14.47%
CUAM USD Money Market Fund (Class I) USD 0.91% 0.31% 0.91% 1.94% 4.23% -- -- 15.35%
CUAM USD Money Market Fund (Class I) HKD 1.63% 0.50% 1.63% 2.66% 5.01% -- -- 15.15%
CUAM USD Money Market Fund (Class P) USD 0.79% 0.27% 0.79% 1.68% 3.71% -- -- 12.69%
CUAM USD Money Market Fund (Class P) HKD 1.50% 0.46% 1.50% 2.40% 4.48% -- -- 12.70%
CUAM USD Money Market Fund (Class N) USD 0.93% 0.32% 0.93% 1.97% 4.30% -- -- 8.96%
CUAM USD Money Market Fund (Class N) HKD 1.65% 0.51% 1.65% 2.70% 5.10% -- -- 9.47%

As of 31 Mar 2026

Annual Return

Fund Name 2021 2022 2023 2024 2025
CUAM USD Money Market Fund (Class A) USD -- -- -- 5.30% 4.21%
CUAM USD Money Market Fund (Class A) HKD -- -- -- 4.62% 4.45%
CUAM USD Money Market Fund (Class I) USD -- -- -- 5.52% 4.43%
CUAM USD Money Market Fund (Class I) HKD -- -- -- 4.83% 4.66%
CUAM USD Money Market Fund (Class P) USD -- -- -- 4.99% 3.91%
CUAM USD Money Market Fund (Class P) HKD -- -- -- 4.32% 4.14%
CUAM USD Money Market Fund (Class N) USD -- -- -- -- 4.50%
CUAM USD Money Market Fund (Class N) HKD -- -- -- -- 4.75%

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: 27 Apr 2023

Class A (HKD) launch date:27 Apr 2023

Class A (USD) launch date:27 Apr 2023

Class I (HKD) launch date:27 Apr 2023

Class I (USD) launch date:27 Apr 2023

Class P (HKD) launch date:3 Jul 2023

Class P (USD) launch date:3 Jul 2023

Class N (HKD) launch date: 20 May 2024

Class N (USD) launch date: 20 May 2024

Distribution History

No dividend is distributed for the Fund.

Fund Documents

Document Name Issue Date Download
CUAM USD Money Market 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
CUAM USD Money Market Fund _ Unaudited Semi-Annual Report 2025 Notice 2025-08-29 Download
CUAM USD Money Market Fund _ Unaudited Semi-Annual Report 2025 2025-08-29 Download
China Universal International Series – Updates to the dealing arrangements on Severe Weather Days and other changes 2025-07-02 Download
CUAM USD Money Market Fund _ audited annual report 2024 2025-04-30 Download
CUAM USD Money Market Fund _ audited annual report 2024 Notice 2025-04-30 Download
CUAM US Dollar Money Market Fund _ Unaudited Semi-Annual Report 2024 2024-08-29 Download
CUAM US Dollar Money Market Fund _ Unaudited Semi-Annual Report 2024 Notice 2024-08-29 Download
China Universal International Series – Change of non-discretionary investment adviser of CUAM USD Money Market Fund and other changes 2024-07-24 Download
CUAM USD Money Market Fund _ audited annual report 2023 2024-04-30 Download
CUAM USD Money Market Fund _ audited annual report 2023 Notice 2024-04-30 Download
CUAM USD Money Market Fund - Notice to investors 2024-03-28 Download
Notice on the interim and annual report of CUAM USD Money Market Fund 2023-08-28 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.