Fund Prices and Performance

Principal mutual funds cover various asset classes of mutual funds, from domestic equity to specialized sectors, so you can find the mix of funds that helps you to achieve your strategic investment goals.
51 funds found
Constituent Funds
Unit Price
Performance

Principal Sustainable Asia Equity Income Fund - Income (monthly) Class Units - Retail (USD)

32.63 USD
As of 21/03/2025
  • YTD

    -0.1 %

  • 1 Year

    13 %

  • 3 Year

    -3.1 %

  • 5 Year

    15.3 %

Data as of 31/01/2025

Principal Sustainable Asian Income Fund - Income Plus (monthly) Class Units - Retirement (HKD)

7.57 HKD
As of 21/03/2025
  • YTD

    0.9 %

  • 1 Year

    3.8 %

  • 3 Year

    -1.8 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Income Fund - Income Plus (monthly) Class Units - Retail (RMB hedged)

7.25 CNY
As of 21/03/2025
  • YTD

    0.5 %

  • 1 Year

    1.2 %

  • 3 Year

    -3.6 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Income Fund - Income Plus (monthly) Class Units - Retail (HKD)

7.51 HKD
As of 21/03/2025
  • YTD

    0.7 %

  • 1 Year

    3.5 %

  • 3 Year

    -2 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Income Fund - Income Plus (monthly) Class Units - Retail (USD)

7.54 USD
As of 21/03/2025
  • YTD

    0.5 %

  • 1 Year

    3.7 %

  • 3 Year

    -2 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Income Fund - Income (monthly) Class Units - Retail (HKD)

8.12 HKD
As of 21/03/2025
  • YTD

    0.9 %

  • 1 Year

    3.6 %

  • 3 Year

    -2 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Income Fund - Accumulation Class Units - Retail (RMB hedged)

8.94 CNY
As of 21/03/2025
  • YTD

    0.6 %

  • 1 Year

    1.1 %

  • 3 Year

    -3.1 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Income Fund - Accumulation Class Units - Retail (HKD)

9.22 HKD
As of 21/03/2025
  • YTD

    0.9 %

  • 1 Year

    3.5 %

  • 3 Year

    -2 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Income Fund - Accumulation Class Units - Retail (USD)

9.26 USD
As of 21/03/2025
  • YTD

    0.6 %

  • 1 Year

    3.8 %

  • 3 Year

    -2 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Allocation Fund - Income Plus (monthly) Class Units - Retirement (HKD)

7.92 HKD
As of 21/03/2025
  • YTD

    0.6 %

  • 1 Year

    7.3 %

  • 3 Year

    -2.4 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Allocation Fund - Income Plus (monthly) Class Units - Retail (RMB hedged)

7.52 CNY
As of 21/03/2025
  • YTD

    0.2 %

  • 1 Year

    4.4 %

  • 3 Year

    -4.4 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Allocation Fund - Income Plus (monthly) Class Units - Retail (HKD)

7.82 HKD
As of 21/03/2025
  • YTD

    0.6 %

  • 1 Year

    6.9 %

  • 3 Year

    -2.7 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Allocation Fund - Income Plus (monthly) Class Units - Retail (USD)

7.84 USD
As of 21/03/2025
  • YTD

    0.3 %

  • 1 Year

    7.2 %

  • 3 Year

    -2.6 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Allocation Fund - Income (monthly) Class Units - Retail (HKD)

8.34 HKD
As of 21/03/2025
  • YTD

    0.5 %

  • 1 Year

    6.8 %

  • 3 Year

    -2.8 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Allocation Fund - Accumulation Class Units - Retail (RMB hedged)

8.7 CNY
As of 21/03/2025
  • YTD

    0.4 %

  • 1 Year

    4.4 %

  • 3 Year

    -4.5 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Allocation Fund - Accumulation Class Units - Retail (HKD)

9.17 HKD
As of 21/03/2025
  • YTD

    0.6 %

  • 1 Year

    6.8 %

  • 3 Year

    -2.8 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Principal Sustainable Asian Allocation Fund - Accumulation Class Units - Retail (USD)

9.2 USD
As of 21/03/2025
  • YTD

    0.2 %

  • 1 Year

    7.2 %

  • 3 Year

    -2.8 %

  • 5 Year

    N/A %

Data as of 31/01/2025

CCB Principal Dual Income Bond Fund* (*The name of the fund is not indicative of the fund's performance and return)

1.126 CNY
As of 21/03/2025
  • YTD

    1.9 %

  • 1 Year

    17.3 %

  • 3 Year

    -2 %

  • 5 Year

    8.4 %

Data as of 31/01/2025

CCB Principal Selected Growth Mixed Asset Fund* (*The name of the fund is not indicative of the fund's performance and return)

1.9622 CNY
As of 21/03/2025
  • YTD

    -1.9 %

  • 1 Year

    10.2 %

  • 3 Year

    -20 %

  • 5 Year

    27.9 %

Data as of 31/01/2025

Principal U.S. Equity Fund - Retail Class Units

37.2599 HKD
As of 21/03/2025
  • YTD

    3.4 %

  • 1 Year

    23.7 %

  • 3 Year

    33.4 %

  • 5 Year

    80.8 %

Data as of 31/01/2025

Principal International Equity Fund - Retail Class Units

42.4484 HKD
As of 21/03/2025
  • YTD

    3.3 %

  • 1 Year

    12.3 %

  • 3 Year

    18.2 %

  • 5 Year

    54.9 %

Data as of 31/01/2025

Principal International Bond Fund - Retail Class Units

11.2826 HKD
As of 21/03/2025
  • YTD

    0.7 %

  • 1 Year

    -2.2 %

  • 3 Year

    -12 %

  • 5 Year

    -14 %

Data as of 31/01/2025

Principal Hong Kong Equity Fund - R6 Class Units

8.6637 HKD
As of 21/03/2025
  • YTD

    N/A

  • 1 Year

    N/A

  • 3 Year

    N/A

  • 5 Year

    N/A

Data as of

Principal Hong Kong Equity Fund - R2 Class Units

11.0074 HKD
As of 21/03/2025
  • YTD

    N/A

  • 1 Year

    N/A

  • 3 Year

    N/A

  • 5 Year

    N/A

Data as of

Principal China Equity Fund - R6 Class Units

7.8485 HKD
As of 21/03/2025
  • YTD

    N/A

  • 1 Year

    N/A

  • 3 Year

    N/A

  • 5 Year

    N/A

Data as of

Principal China Equity Fund - Retail Class Units

13.7245 HKD
As of 21/03/2025
  • YTD

    1 %

  • 1 Year

    30.7 %

  • 3 Year

    -24.3 %

  • 5 Year

    -20.8 %

Data as of 31/01/2025

Principal Hong Kong Equity Fund - Retail Class Units

33.1827 HKD
As of 21/03/2025
  • YTD

    1.2 %

  • 1 Year

    27.8 %

  • 3 Year

    -18.4 %

  • 5 Year

    -15.7 %

Data as of 31/01/2025

Principal Hong Kong Dollar Savings Fund - Retail Class Units

13.6049 HKD
As of 21/03/2025
  • YTD

    0.5 %

  • 1 Year

    4.5 %

  • 3 Year

    9 %

  • 5 Year

    10.8 %

Data as of 31/01/2025

Principal Hong Kong Bond Fund - R6 Class Units

8.9679 HKD
As of 21/03/2025
  • YTD

    N/A

  • 1 Year

    N/A

  • 3 Year

    N/A

  • 5 Year

    N/A

Data as of

Principal Hong Kong Bond Fund - Retail Class Units

12.2709 HKD
As of 21/03/2025
  • YTD

    0.7 %

  • 1 Year

    4.5 %

  • 3 Year

    2.7 %

  • 5 Year

    5.6 %

Data as of 31/01/2025

Principal Asian Equity Fund - Retail Class Units

50.3138 HKD
As of 21/03/2025
  • YTD

    0.2 %

  • 1 Year

    12.3 %

  • 3 Year

    -2.3 %

  • 5 Year

    17 %

Data as of 31/01/2025

Global High Yield Fund - D2 Class Inc Plus Units (USD)

8.65 USD
As of 20/03/2025
  • YTD

    1.4 %

  • 1 Year

    7.84 %

  • 3 Year

    11.07 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Global High Yield Fund - D2 Class Inc Plus Units (HKD)

8.68 HKD
As of 20/03/2025
  • YTD

    1.74 %

  • 1 Year

    7.37 %

  • 3 Year

    10.93 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Preferred Securities Fund - D2 Class Inc Plus Units (USD)

8.46 USD
As of 20/03/2025
  • YTD

    0.64 %

  • 1 Year

    7.45 %

  • 3 Year

    6.13 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Preferred Securities Fund - D2 Class Inc Plus Units (HKD)

8.48 HKD
As of 20/03/2025
  • YTD

    0.87 %

  • 1 Year

    7.09 %

  • 3 Year

    6.1 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Post Short Duration High Yield Fund - D2 Class Inc Plus Units (USD)

8.7324 USD
As of 20/03/2025
  • YTD

    0.94 %

  • 1 Year

    6.2 %

  • 3 Year

    10.51 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Post Short Duration High Yield Fund - D2 Class Inc Plus Units (HKD)

8.7577 HKD
As of 20/03/2025
  • YTD

    1.25 %

  • 1 Year

    5.86 %

  • 3 Year

    10.43 %

  • 5 Year

    N/A %

Data as of 31/01/2025

Global Property Securities Fund - D2 Class Inc Units (USD)

7.89 USD
As of 20/03/2025
  • YTD

    1.55 %

  • 1 Year

    5.49 %

  • 3 Year

    -15.45 %

  • 5 Year

    -10.67 %

Data as of 31/01/2025

Global Property Securities Fund - D2 Class Inc Units (HKD)

7.95 HKD
As of 20/03/2025
  • YTD

    1.79 %

  • 1 Year

    5.06 %

  • 3 Year

    -15.53 %

  • 5 Year

    -10.43 %

Data as of 31/01/2025

Origin Global Smaller Companies Fund - A Class Acc Units (USD)

15.93 USD
As of 20/03/2025
  • YTD

    2.82 %

  • 1 Year

    17.72 %

  • 3 Year

    16.55 %

  • 5 Year

    54.67 %

Data as of 31/01/2025

Origin Global Emerging Markets Fund - A Class Acc Units (USD)

11.04 USD
As of 20/03/2025
  • YTD

    2.55 %

  • 1 Year

    14.8 %

  • 3 Year

    -10.44 %

  • 5 Year

    3.46 %

Data as of 31/01/2025

Preferred Securities Fund - D2 Class Inc Units (USD)

9.03 USD
As of 20/03/2025
  • YTD

    0.61 %

  • 1 Year

    7.47 %

  • 3 Year

    6.19 %

  • 5 Year

    9.24 %

Data as of 31/01/2025

Preferred Securities Fund - A Class Acc Units (Japanese Yen Hedged)

1170.34 JPY
As of 20/03/2025
  • YTD

    0.27 %

  • 1 Year

    2.08 %

  • 3 Year

    -6.65 %

  • 5 Year

    -5.31 %

Data as of 31/01/2025

Preferred Securities Fund - D2 Class Inc Units (HKD)

8.93 HKD
As of 20/03/2025
  • YTD

    0.95 %

  • 1 Year

    7.12 %

  • 3 Year

    6.19 %

  • 5 Year

    9.68 %

Data as of 31/01/2025

Preferred Securities Fund - A Class Inc Units (USD)

8.44 USD
As of 20/03/2025
  • YTD

    0.59 %

  • 1 Year

    7.82 %

  • 3 Year

    7.03 %

  • 5 Year

    10.66 %

Data as of 31/01/2025

Preferred Securities Fund - A Class Acc Units (USD)

18.37 USD
As of 20/03/2025
  • YTD

    0.66 %

  • 1 Year

    7.79 %

  • 3 Year

    7.16 %

  • 5 Year

    10.93 %

Data as of 31/01/2025

Global High Yield Fund - A Class Inc Units (AUD Hedged)

11.7 AUD
As of 20/03/2025
  • YTD

    1.39 %

  • 1 Year

    7 %

  • 3 Year

    7.63 %

  • 5 Year

    13.77 %

Data as of 31/01/2025

Global High Yield Fund - A Class Inc Units (USD)

9.06 USD
As of 20/03/2025
  • YTD

    1.48 %

  • 1 Year

    8 %

  • 3 Year

    11.55 %

  • 5 Year

    19.8 %

Data as of 31/01/2025

Global Sustainable Equity Fund - A Class Acc Units (USD)

87.52 USD
As of 20/03/2025
  • YTD

    2.88 %

  • 1 Year

    9.29 %

  • 3 Year

    16.41 %

  • 5 Year

    52.58 %

Data as of 31/01/2025

European Responsible Equity Fund - A Class Acc Units (USD)

130.67 USD
As of 20/03/2025
  • YTD

    6.99 %

  • 1 Year

    8.85 %

  • 3 Year

    6.38 %

  • 5 Year

    32 %

Data as of 31/01/2025

Global High Yield Fund - A Class Acc Units (USD)

23.92 USD
As of 20/03/2025
  • YTD

    1.44 %

  • 1 Year

    8 %

  • 3 Year

    11.77 %

  • 5 Year

    20.21 %

Data as of 31/01/2025

This material is intended for general reference only. This material does not constitute an offer or solicitation or invitation or advice or recommendation to enter into any transactions.  Investment involves risk. There is no assurance on investment returns.  You should consider your own risk tolerance level and financial circumstances before making any investment choices. If you are in doubt as to whether a certain fund or product mentioned in this material is suitable for you, you should seek independent professional advice.

Issuer of this material

Principal Global Investors Funds, CCB Principal Selected Growth Mixed Asset Fund, CCB Principal Dual Income Bond Fund 
Issuer: Principal Investment & Retirement Services Limited

Principal Life Style Fund, Principal Prosperity Series
Issuer: Principal Asset Management Company (Asia) Limited

This material has not been reviewed by the Securities and Futures Commission.