PCASH

Phillips Money Management Fund

Fund Type:

Money Market Fund

Minimum Subscription Amount:

Not fixed

Fund Registration Date:

7 August 2007

Risk Level (1 - 8):

1

Dividend Policy:

n.a

Fund Information

Fund Name:

Phillips Money Management Fund

Fund Code:

PCASH

Fund Type:

Money Market Fund

https://pamcdev.cqit.sg/phillip-world-innovation-retirement-mutual-fund-pwinrmf/

Description:

Investment Policy Phillips Treasury Management Fund (PCASH) is a fund that invests in debt instruments and/or deposits or any other financial instruments that are repayable on demand. or will be due for repayment no later than 397 days from the investment date including securities or other property or finding fruit By the way, according to the SEC or give approval to the Investment Fund to maintain a portfolio view Corporation (Portfolio Duration) of the Fund at any time up to 92 days will fund. Do not invest in futures contracts and instruments with embedded derivatives (Structured Notes) Project objectives To create returns for general investors who want to receive a return on their investment in short to medium term. by investing in debt instruments or short-term financial instruments with stability and high liquidity for the opportunity to receive higher returns than the deposit interest rate under acceptable risk

Fund Registration Date:

7 August 2007

Ordering and Redemption of Investment Units

Ordering and redemption of investment units

Not fixed
8.30 - 15.30 every business day

Redemption of investment units

No scheduled
8:30 to 15:00 pm. Every day.

Refund period

Not more than T+2 business days

Fees

Charged to the Fund (% per annum of NAV) Maximum Fee Actual Fee
Annual Management Fee : Not more than 0.6420 % Actual storage 0.1605 %
Trustee Fee : Not more than 0.0321 % Actual store 0.0268%
Registrar Fee : Not more than 0.1070% Actual store 0.0642 %
Other expenses: actual charge 1.6050%
Charged to investors (% of trading value) Maximum Fee Actual Fee
Sales fee : do not have do not have
Redemption Fee : do not have do not have
Switching fee: do not have do not have
Note:
1. The above fees are VAT included. NAV means the net asset value of the Fund.

Selling Agents

February 2025

MO
TU
WE
TH
FR
SA
SU
27
28
29
30
31
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
1
2
en_USEnglish