IMPORTANT: The information provided herein is strictly for general information only and should not be considered as an offer, or solicitation, to deal in any of the unit trusts mentioned herein. The prices shown here are indicative only and are subject to change without prior notice. They are not to be taken as an offer to contract. United Overseas Bank Group shall not be responsible for any error or omission or any loss or damage caused by arising directly or indirectly from the use of or reliance on the information provided herein.

Investors should note that past performance of the unit trusts is not necessarily an indication of future performance. Investments are subject to investment and foreign exchange risks, including the possible loss of the principal amount invested. The value of the units and the income from them may fall as well as rise. All applications for units in the unit trusts must be made on the application forms accompanying the relevant prospectuses. Investors should read the prospectuses for details


Third Party Unit Trust Prices
Unit Trust/
Launch Date
Investment
Objective
Investment Amount
CPFIS-Approved
Indicative Offer Price
(as at
06-10-2008)*
Indicative Bid Price
(as at
06-10-2008)*
Schroder Investment Management (Singapore) Ltd
SCHRODER ALTERNATIVE SOLUTIONS COMMODITY FUND (SGD)

Launch Date:
21 Sep 2007
To generate a total return in the long term through investment in commodity related investments globally.
Minimum
S$15,000

Subsequent
S$15,000
-
NAV S$9.80
SCHRODER ALTERNATIVE SOLUTIONS COMMODITY FUND (USD)

Launch Date:
31 Oct 2005
To generate a total return in the long term through investment in commodity related investments globally.
Minimum
US$10,000

Subsequent
US$10,000
-
NAV US$138.79
SCHRODER EUROPEAN EQUITY ALPHA FUND

Launch Date:
25 April 2005
Invests primarily in the Schroder ISF European Equity Alpha, whose investment objective is to provide capital growth primarily through investment in equity securities of European companies.
Minimum
S$1,000

Subsequent
S$500
OA
NAV S$0.939
SISF EUROPEAN EQUITY ALPHA A ACC

Launch Date:
31 Jan 2003
Aims to provide capital growth primarily through investment in equity securities of European companies.
Minimum
EUR1,000

Subsequent
EUR1,000
-
NAV S$34.50
SISF EUROPEAN EQUITY ALPHA A DIS

Launch Date:
31 Jan 2003
Aims to provide capital growth primarily through investment in equity securities of European companies.
Minimum
EUR1,000

Subsequent
EUR1,000
-
NAV S$34.34
SISF GLBL EMGNG MKT OPPS SGD A ACC

Launch Date:
27 Feb 2007
Aims to provide capital growth primarily through investment in equity and fixed income securities of a universe of emerging countries worldwide.
Minimum
S$2,000

Subsequent
S$2,000
-
NAV S$9.11
SISF GLOBAL EMGNG MKT OPPS A ACC

Launch Date:
19 Jan 2007
Aims to provide capital growth primarily through investment in equity and fixed income securities of a universe of emerging countries worldwide.
Minimum
US$1,000

Subsequent
US$1,000
-
NAV US$9.55
SISF GLOBAL QUAN ACT VALUE A ACC

Launch Date:
29 Oct 2004
Aims to provide a total return primarily through active investment in a diversified value style biased portfolio of equity and equity-related securities of companies worldwide.
Minimum
US$1,000

Subsequent
US$1,000
-
NAV US$113.33
SISF GLOBAL QUAN ACT VALUE A DIS

Launch Date:
29 Oct 2004
Aims to provide a total return primarily through active investment in a diversified value style biased portfolio of equity and equity-related securities of companies worldwide.
Minimum
US$1,000

Subsequent
US$1,000
-
NAV US$110.33
SISF LATIN AMERICAN SGD A ACC

Launch Date:
7 July 2006
Aims to provide capital growth primarily through investment in equity securities of Latin American companies.
Minimum
S$2,000

Subsequent
S$2,000
-
NAV S$55.53
SISF LATIN AMERICAN A ACC

Launch Date:
15 July 1998
Aims to provide capital growth primarily through investment in equity securities of Latin American companies.
Minimum
US$1,000

Subsequent
US$1,000
-
NAV US$38.37
SISF LATIN AMERICAN A DIS

Launch Date:
7 July 2006
Aims to provide capital growth primarily through investment in equity securities of Latin American companies.
Minimum
S$2,000

Subsequent
S$2,000
-
NAV US$36.37
SCHRODER ASIAN BOND FUND (SGD)

Launch Date:
2 May 2003
Invests primarily into the Schroder ISF Asian Bond whose investment objective is to provide a return of capital growth and income primarily through investment in a portfolio of bonds and other fixed and floating rate securities issued by governments and corporates in Asia excluding Japan.
Minimum
S$1000

Subsequent
S$500
-
NAV S$0.932
SCHRODER ISF ASIAN BOND CLASS A DIS (USD)

Launch Date:
16 Oct 1998
Aims to provide a return of capital growth and income primarily through investment in a portfolio of bonds and other fixed and floating rate securities issued by governments, government agencies, supra-national and corporate issuers in Asia excluding Japan.
Minimum
US$1000

Subsequent
US$1000
-
NAV US$7.44
SCHRODER ASIAN GROWTH FUND

Launch Date:
8 May 1991
Primarily in securities of companies quoted on the stock markets in Asia, excluding Japan
Minimum
S$1000

Subsequent
S$500
OA
NAV S$1.417
SCHRODER BALANCED GROWTH FUND CLASS A

Launch Date:
1 Apr 1998
Equities, bonds and other fixed income securities in the global markets
Minimum
S$1000

Subsequent
S$500
-
NAV S$1.031
SCHRODER BRIC FUND

Launch Date:
17 Feb 2006
BRIC Fund aims to provide capital growth primarily through investments in the equity securities of Brazilian, Russian, Indian and Chinese companies and companies that have a significant exposure to Brazil, Russia, India and China.
Minimum
S$1000

Subsequent
S$500
OA
NAV S$1.065
SCHRODER DYNAMIC ALLOCATION FUND

Launch Date:
7 Jan 2008
To generate potential annual payouts and potential capital growth through exposure to global fixed-income and a dynamic allocation strategy linked to the performance of global equity markets.
Minimum
S$1000

Subsequent
S$100
-
NAV S$0.8895
SCHRODER EMERGING MARKETS FUND

Launch Date:
17 Feb 2000
Primarily in emerging markets which include selected countries in Asia, Middle East, Africa, Eastern Europe and Latin America, by investing in the Schroder International Selection Fund - Emerging Markets
Minimum
S$1000

Subsequent
S$500
OA
NAV S$1.152
SCHRODER S$ ENHANCED RETURN FUND

Launch Date:
03 Jun 2002
The Fund's investment objective is to provide investors with 100% capital protection at maturity and early payout(s) as well as potential capital gains from European equities.
 Not available for subscription

 
 
OA/SA
NAV S$1.0542
SCHRODER S$ ENHANCED RETURN FUND II

Launch Date:
06 Aug 2002
The Fund's investment objective is to provide investors with 100% capital protection at maturity and early payout(s) as well as potential capital gains from European equities.
 Not available for subscription

 
 
OA/SA
NAV S$1.0764
SCHRODER EUROPEAN LARGE CAP EQUITY FUND

Launch Date:
24 Jun 1998
Larger market capitalisation stocks quoted on the major European markets by investing in the Schroder International Selection Fund - European Equity
Minimum
S$1000

Subsequent
S$500
OA
NAV S$0.965
SCHRODER GLOBAL SMALLER COMPANIES FUND

Launch Date:
24 Mar 1999
A diversified portfolio of securities consisting primarily of listed securities of smaller companies by investing in the Schroder International Selection Fund - US Smaller Companies, Schroder International Selection Fund - European Smaller Companies and Schroder UK Smaller Companies Fund. In Asia, investments are made directly into the stock markets
Minimum
S$1000

Subsequent
S$500
OA
NAV S$1.635
SISF GL0BAL CLIMATE CHANGE EQUITY CLASS A SGD

Launch Date:
29 Jun 2007
Aims to provide capital growth primarily through investments in equities securities of worldwide issuers, which are expected to benefit from efforts to accommodate the impact of global climate change.
Minimum
S$2000

Subsequent
S$2000
-
NAV S$7.59
SISF GLOBAL CLIMATE CHANGE EQUITY CLASS A USD

Launch Date:
29 Jun 2007
Aims to provide capital growth primarily through investments in equities securities of worldwide issuers, which are expected to benefit from efforts to accommodate the impact of global climate change.
Minimum
US$1000

Subsequent
US$1000
-
NAV US$7.74
SISF MIDDLE EAST (SGD)

Launch Date:
17 Dec 2007
Seeks to provide capital growth through investing in equity securities of Middle Eastern companies including companies in emerging Mediterranean markets. The portfolio may also, to a limited extent, seek exposure to the markets of Northern Africa. The objective is to outperform the customised MSCI Greater Middle East Index by 2.0% per annum (gross of fees) over rolling three-year periods.
Minimum
S$2000

Subsequent
S$2000
-
NAV S$7.85
SISF MIDDLE EAST (USD)

Launch Date:
3 Sep 2007
Seeks to provide capital growth through investing in equity securities of Middle Eastern companies including companies in emerging Mediterranean markets. The portfolio may also, to a limited extent, seek exposure to the markets of Northern Africa. The objective is to outperform the customised MSCI Greater Middle East Index by 2.0% per annum (gross of fees) over rolling three-year periods.
Minimum
US$1000

Subsequent
US$1000
-
NAV US$8.81
SCHRODER JAPANESE EQUITY FUND

Launch Date:
25 Aug 1999
Securities of companies quoted on the Japanese stock exchanges by investing in the Schroder International Selection Fund - Japanese Equity
Minimum
S$1000

Subsequent
S$500
OA
NAV S$0.512
SCHRODERS PAN ASIA FUND

Launch Date:
23 Mar 1997
Securities quoted on the stock markets in Asia, including Japan
Minimum
S$1000

Subsequent
S$500
OA
NAV S$1.094
SCHRODER SINGAPORE TRUST CLASS A

Launch Date:
1 Feb 1993
Securities of companies quoted on the Singapore Exchange
Minimum
S$1000

Subsequent
S$500
OA
NAV S$1.183
SCHRODER S$ GLOBAL RETURN FUND - OCT 2005

Launch Date:
5 Sept 2001
To provide investors with 100% capital protection plus a minimum return of 5% at maturity while investing into global equities.
 Not available for subscription

 
 
OA/SA
NAV S$1.0502
SCHRODER US$ GLOBAL RETURN FUND - OCT 2004

Launch Date:
5 Sept 2001
To provide investors with 100% capital protection plus a minimum return of 7.5% at maturity while investing into global equities.
 Not available for subscription

 
 
-
NAV US$1.0753

CPFIS = CPF Investment Scheme
OA/SA = Using funds from CPF Ordinary Account/CPF Special Account
* Based on forward pricing; applicable in Singapore only