FLEXI-Series

Unit Prices

"FLEXI-Series" investment-linked insurance plans (including FLEXI-Annuity Investment Plan, FLEXI-Education InvestPlan and FLEXI-Invest Insurance Plan) are not available to new policy application

Latest Valuation Date (MM/DD/YYYY): 06/17/2025

Retrieve unit prices from previous valuation date:     

- To retrieve previous unit prices of the investment choices, please select the date and press "Retrieve".

The bid and offer prices shown below are quoted in the currency of the corresponding policy.

Selected Date: 06/17/2025

Code Investment Choice Name Valuation Date Bid Price Offer Price Date Opened
BPBO GLOBAL BOND FUND BP HK$ 06/17/2025 89.9670000 94.7022000 03/11/2022
BPBO GLOBAL BOND FUND BP US$ 06/17/2025 11.4440000 12.0464000 11/01/2011
BPEA EQUITY ASIA EX-JAPAN FUND BP HK$ 06/17/2025 115.2527000 121.3187000 06/20/2011
BPEA EQUITY ASIA EX-JAPAN FUND BP US$ 06/17/2025 14.6604000 15.4320000 06/20/2011
BPEC EQUITY CHINA FUND BP HK$ 06/17/2025 115.5750000 121.6579000 06/20/2011
BPEC EQUITY CHINA FUND BP US$ 06/17/2025 14.7014000 15.4752000 06/20/2011
BPEE EQUITY EMERGING FUND BP HK$ 06/17/2025 81.0552000 85.3213000 06/20/2011
BPEE EQUITY EMERGING FUND BP US$ 06/17/2025 10.3104000 10.8531000 06/20/2011
BPEQ GLOBAL EQUITY FUND BP HK$ 06/17/2025 193.3221000 203.4970000 11/01/2001
BPEQ GLOBAL EQUITY FUND BP US$ 06/17/2025 24.5910000 25.8853000 11/01/2001
BPER CLEAN ENERGY SOLUTIONS FUND BP HK$ 06/17/2025 50.4511000 53.1065000 06/20/2011
BPER CLEAN ENERGY SOLUTIONS FUND BP US$ 06/17/2025 6.4175000 6.7553000 06/20/2011
BPUD US DOLLAR CASH FUND BP HK$ 06/17/2025 96.1956000 101.2586000 11/01/2001
BPUD US DOLLAR CASH FUND BP US$ 06/17/2025 12.2363000 12.8804000 11/01/2001
MSBO GLOBAL BOND FUND MS HK$ 06/17/2025 131.6872000 138.6182000 10/08/2002
MSBO GLOBAL BOND FUND MS US$ 06/17/2025 16.7509000 17.6326000 10/08/2002
MSEQ GLOBAL EQUITY FUND MS HK$ 06/17/2025 387.2354000 407.6163000 10/08/2002
MSEQ GLOBAL EQUITY FUND MS US$ 06/17/2025 49.2572000 51.8497000 10/08/2002

Important Information

The information contained in this website was obtained from sources believed to be reliable. Due to the risk that the internet may be subject to interruption, transmission blackout, delayed transmission due to internet traffic, or incorrect data transmission due to the public nature of the internet, the information contained in this website may be incomplete, altered or tampered with, YF Life Insurance International Ltd. does not guarantee its completeness.

Investment involves risks. The unit price of investment choices may go down as well as up. Past performance is not indicative of future performance. For details of the investment-linked insurance products, including charges and risk factors, and the relevant charges of the investment choices, please refer to their offering documents.

For details of the underlying funds, please refer to the offering documents of the respective underlying funds, which are available from the Company upon request and at the Company’s website.

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