PRULink US Dividend Wealth Fund (Distribution)
The PRULink US Dividend Wealth Fund aims to provide long term capital growth and income by investing in corporate Debt Securities and Equities of US and/or Canadian equity and bond markets.
Read moreHistorical annualised returns
Updated as of 11 November 2024
1-year
+16.63 %
3-year
-
5-year
-
Prices
Updated as of 11 November 2024
Bid price
$1.0049 SGD
Offer price
$1.0578 SGD
Performance and prices
Over a period of time of
+16.63 %
1 year return
Historical returns
Performance | 1-month | 6-month | 1-year | 3-year* | 5-year* | 10-year* | Since inception* |
---|---|---|---|---|---|---|---|
Offer-bid | -3.55% | +0.55% | +10.80% | - | - | - | +7.42% |
Bid-bid | +1.52% | +5.84% | +16.63% | - | - | - | +10.02% |
*Historical returns exceeding a one-year period are annualised for comparability purposes.
Over a period of time of
About this fund
Fund facts
Multi-Asset
Risk classification
Higher Risk
Currency
SGD
Inception date
21 Sep 2022
Fund code
PUDW
Payment mode
Cash
Continuing Investment Charge (CIC)*
1.50%
Manager of the fund
Prudential Assurance Company Singapore (Pte) Limited
Investment manager of the underlying fund
Voya Investment Management Co. LLC
Payout frequency
Monthly1 (On or around the fifteenth Business Day of the month)
Dividends2
Declaration
Dividend rate
15 October 2024
0.51 cent per unit
13 September 2024
0.55 cent per unit
14 August 2024
0.55 cent per unit
15 July 2024
0.55 cent per unit
14 June 2024
0.55 cent per unit
14 May 2024
0.55 cent per unit
15 April 2024
0.55 cent per unit
14 March 2024
0.55 cent per unit
14 February 2024
0.55 cent per unit
15 January 2024
0.55 cent per unit
14 December 2023
0.55 cent per unit
14 November 2023
0.55 cent per unit
16 October 2023
0.55 cent per unit
14 September 2023
0.55 cent per unit
14 August 2023
0.55 cent per unit
14 July 2023
0.6 cent per unit
14 June 2023
0.6 cent per unit
15 May 2023
0.6 cent per unit
14 April 2023
0.6 cent per unit
14 March 2023
0.6 cent per unit
14 February 2023
0.6 cent per unit
13 January 2023
0.6 cent per unit
14 December 2022
0.6 cent per unit
14 November 2022
0.6 cent per unit
14 October 2022
0.6 cent per unit
Fund documents
Important Information
Footnotes
Important Notes
The Fund is an investment-linked policy (“ILP”) sub-fund issued by Prudential Singapore and Prudential Singapore is the product provider. A Product Summary, Fund Information Booklet and Product Highlights Sheet relating to the Fund are available and may be obtained from Prudential Singapore, Prudential Financial Representative and/or its distribution partners.
A potential investor should read the Product Summary, Fund Information Booklet and Product Highlights Sheet before deciding whether to subscribe for units in the ILP sub-fund and seek professional advice before making any investment decision. In the event that investor chooses not to seek advice, he/she should consider carefully whether the ILP sub-fund in question is suitable for him/her.
If you choose an ILP sub-fund that aims to distribute dividends on a regular basis, please note that the distribution of dividends is at the discretion of the underlying fund's Board of Directors, Manager and/or Prudential Singapore, and is not guaranteed. The distribution of dividends may be effectively paid out of capital, which will reduce the net asset value of the fund which is used to calculate the fund’s unit price and the surrender value of the policy.
All the information and contents in this section are provided by our data provider FE fundinfo (www.fundinfo.com).
Performance figures are calculated on a bid-bid basis, with all dividends and distributions reinvested at bid price, taking into account all fund-related charges which would have been payable upon such reinvestment. Fees and charges payable through deduction of premium or cancellation of units are excluded from this calculation. All fund prices shown here are indicative only and are subject to change without prior notice. Please refer to your Statement of Account for the latest and accurate fund prices of the ILP sub-funds which you have purchased.
Prudential Singapore makes no guarantee as to the originality, accuracy, and/or completeness of the information and contents in this section. Prudential, its affiliates and its agents shall not be liable for any loss whatsoever arising directly or indirectly from any use of or reliance on the information provided herein.
Past performance of the ILP sub-fund is not necessarily indicative of the future performance of the ILP sub-fund.
The information presented is for your information only and does not consider specific investment objectives, financial situation or needs of any person. It should not be relied upon as financial advice to buy, sell or hold any investment product or class of investment products. It should not be construed as an offer or solicitation for the subscription, purchase or sale of the names mentioned herein.
Investments are subject to investments risks including the possible loss of the principal amount invested. The prediction, projection or forecast on the economy, securities markets or the economic trends of the markets targeted by the ILP sub-fund are not necessarily indicative of the future or likely performance of the Fund. The past performance of the Manager or Investment Manager and the Fund is not necessarily indicative of its future performance. The performance of the ILP sub-fund is not guaranteed and the value of the units and the income accruing to the units, if any may fall or rise.
© Copyright 2024 Morningstar. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.
Information is correct as at 25 June 2024.
This advertisement has not been reviewed by the Monetary Authority of Singapore.