Top 3 Peso and Top 3 US Dollar Denominated Funds

Prices as of November 26, 2025 and Performance as of September 2025 Fund Fact Sheet

We offer various options to best suit your risk appetite and preferred currency. Choose among our top performing funds and maximize your investment’s growth potential.

Opportunity Fund
CurrencyPHP
Offer Price 23.8111
Bid Price 22.6772
Average Annualized Performance 1 Year Intervals -17.96%
3 Year Intervals1.88%
5 Year Intervals0.62%
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Chinese Tycoon Fund
CurrencyPHP
Offer Price 13.9848
Bid Price 13.3188
Average Annualized Performance 1 Year Intervals -16.10%
3 Year Intervals0.02%
5 Year Intervals-1.04%
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Philippine Wealth Bond Fund
CurrencyPHP
Offer Price 20.9364
Bid Price 19.9394
Average Annualized Performance 1 Year Intervals 1.08%
3 Year Intervals3.47%
5 Year Intervals-0.13%
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Advantage Fund
CurrencyUSD
Offer Price 7.1501
Bid Price 6.8096
Average Annualized Performance 1 Year Intervals 20.64%
3 Year Intervals27.91%
5 Year Intervals14.49%
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Premium Bond Fund
CurrencyUSD
Offer Price 2.7832
Bid Price 2.6506
Average Annualized Performance 1 Year Intervals 0.12%
3 Year Intervals4.78%
5 Year Intervals-1.69%
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Edge Equity Fund - USD
CurrencyUSD
Offer Price 1.2403
Bid Price 1.1812
Average Annualized Performance 1 Year Intervals 13.90%
3 Year IntervalsN/A **
5 Year IntervalsN/A **
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
NameCurrencyOffer PriceBid PriceAverage Annualized PerformanceHistorical PricesFund Highlight SheetFund Fact Sheet
1 Year Intervals3 Year Intervals5 Year Intervals
Opportunity FundPHP23.811122.6772-17.96%1.88%0.62% as of September 2025
Chinese Tycoon FundPHP13.984813.3188-16.10%0.02%-1.04% as of September 2025
Philippine Wealth Bond FundPHP20.936419.93941.08%3.47%-0.13% as of September 2025
Global Advantage FundUSD7.15016.809620.64%27.91%14.49% as of September 2025
Premium Bond FundUSD2.78322.65060.12%4.78%-1.69% as of September 2025
Global Edge Equity Fund - USDUSD1.24031.181213.90%N/A **N/A ** as of September 2025

Global Dynamic Allocation Funds

Prices as of November 26, 2025 and Performance as of September 2025 Fund Fact Sheet

Global Dynamic Allocation Fund - Stable
CurrencyUSD
Offer Price 1.1905
Bid Price 1.1338
Average Annualized Performance 1 Year Intervals 5.62%
3 Year Intervals8.89%
5 Year Intervals0.83%
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Dynamic Allocation Fund - Multi-Asset
CurrencyUSD
Offer Price 1.4103
Bid Price 1.3431
Average Annualized Performance 1 Year Intervals 7.46%
3 Year Intervals10.26%
5 Year Intervals4.04%
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Dynamic Allocation Fund - Growth
CurrencyUSD
Offer Price 1.7144
Bid Price 1.6327
Average Annualized Performance 1 Year Intervals 12.27%
3 Year Intervals15.66%
5 Year Intervals8.41%
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
NameCurrencyOffer PriceBid PriceAverage Annualized PerformanceHistorical PricesFund Highlight SheetFund Fact Sheet
1 Year Intervals3 Year Intervals5 Year Intervals
Global Dynamic Allocation Fund - StableUSD1.19051.13385.62%8.89%0.83% as of September 2025
Global Dynamic Allocation Fund - Multi-AssetUSD1.41031.34317.46%10.26%4.04% as of September 2025
Global Dynamic Allocation Fund - GrowthUSD1.71441.632712.27%15.66%8.41% as of September 2025

Peso-Denominated Dollar Funds

Prices as of November 26, 2025 and Performance as of September 2025 Fund Fact Sheet

Global Advantage Fund - Peso
CurrencyPHP
Offer Price 23.1032
Bid Price 22.0030
Average Annualized Performance 1 Year Intervals 24.88%
3 Year Intervals27.06%
5 Year IntervalsN/A *
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Dynamic Allocation Fund – Stable Peso
CurrencyPHP
Offer Price 12.5730
Bid Price 11.9742
Average Annualized Performance 1 Year Intervals 9.53%
3 Year Intervals7.88%
5 Year IntervalsN/A *
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Dynamic Allocation Fund – Multi-Asset Peso
CurrencyPHP
Offer Price 14.4494
Bid Price 13.7613
Average Annualized Performance 1 Year Intervals 11.12%
3 Year Intervals9.65%
5 Year IntervalsN/A *
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Dynamic Allocation Fund – Growth Peso
CurrencyPHP
Offer Price 17.0328
Bid Price 16.2217
Average Annualized Performance 1 Year Intervals 16.20%
3 Year Intervals14.92%
5 Year IntervalsN/A *
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Edge Equity Fund - Peso
CurrencyPHP
Offer Price 12.4491
Bid Price 11.8562
Average Annualized Performance 1 Year Intervals 17.36%
3 Year IntervalsN/A **
5 Year IntervalsN/A **
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
NameCurrencyOffer PriceBid PriceAverage Annualized PerformanceHistorical PricesFund Highlight SheetFund Fact Sheet
1 Year Intervals3 Year Intervals5 Year Intervals
Global Advantage Fund - PesoPHP23.103222.003024.88%27.06%N/A * as of September 2025
Global Dynamic Allocation Fund – Stable PesoPHP12.573011.97429.53%7.88%N/A * as of September 2025
Global Dynamic Allocation Fund – Multi-Asset PesoPHP14.449413.761311.12%9.65%N/A * as of September 2025
Global Dynamic Allocation Fund – Growth PesoPHP17.032816.221716.20%14.92%N/A * as of September 2025
Global Edge Equity Fund - PesoPHP12.449111.856217.36%N/A **N/A ** as of September 2025

Income Paying Funds

Prices as of November 26, 2025 and Performance as of September 2025 Fund Fact Sheet

Global Assets Income Paying Fund
CurrencyUSD
Offer Price 1.1973
Bid Price 1.1402
Average Annualized Performance 1 Year Intervals 4.41%
3 Year Intervals7.55%
5 Year IntervalsN/A *
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Assets Income Paying Fund Peso
CurrencyPHP
Offer Price 12.4494
Bid Price 11.8565
Average Annualized Performance 1 Year Intervals 8.10%
3 Year Intervals6.90%
5 Year IntervalsN/A *
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Equity Income Paying Fund
CurrencyUSD
Offer Price 1.1066
Bid Price 1.0539
Average Annualized Performance 1 Year Intervals N/A ***
3 Year IntervalsN/A ***
5 Year IntervalsN/A ***
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global Equity Income Paying Fund Peso
CurrencyPHP
Offer Price 11.0360
Bid Price 10.5104
Average Annualized Performance 1 Year Intervals N/A ***
3 Year IntervalsN/A ***
5 Year IntervalsN/A ***
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global REIT and Property Income Fund
CurrencyUSD
Offer Price 1.0594
Bid Price 1.0089
Average Annualized Performance 1 Year Intervals -10.35%
3 Year IntervalsN/A **
5 Year IntervalsN/A **
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Global REIT and Property Income Fund Peso
CurrencyPHP
Offer Price 10.8668
Bid Price 10.3493
Average Annualized Performance 1 Year Intervals -7.37%
3 Year IntervalsN/A **
5 Year IntervalsN/A **
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Variable Income Fund
CurrencyUSD
Offer Price 1.0387
Bid Price 0.9892
Average Annualized Performance 1 Year Intervals N/A ***
3 Year IntervalsN/A ***
5 Year IntervalsN/A ***
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
Variable Income Fund Peso
CurrencyPHP
Offer Price 10.3169
Bid Price 9.8256
Average Annualized Performance 1 Year Intervals N/A ***
3 Year IntervalsN/A ***
5 Year IntervalsN/A ***
Historical Prices Fund Highlight Sheet Fund Fact Sheet as of September 2025
NameCurrencyOffer PriceBid PriceAverage Annualized PerformanceHistorical PricesFund Highlight SheetFund Fact Sheet
1 Year Intervals3 Year Intervals5 Year Intervals
Global Assets Income Paying FundUSD1.19731.14024.41%7.55%N/A * as of September 2025
Global Assets Income Paying Fund PesoPHP12.449411.85658.10%6.90%N/A * as of September 2025
Global Equity Income Paying FundUSD1.10661.0539N/A ***N/A ***N/A *** as of September 2025
Global Equity Income Paying Fund PesoPHP11.036010.5104N/A ***N/A ***N/A *** as of September 2025
Global REIT and Property Income FundUSD1.05941.0089-10.35%N/A **N/A ** as of September 2025
Global REIT and Property Income Fund PesoPHP10.866810.3493-7.37%N/A **N/A ** as of September 2025
Variable Income FundUSD1.03870.9892N/A ***N/A ***N/A *** as of September 2025
Variable Income Fund PesoPHP10.31699.8256N/A ***N/A ***N/A *** as of September 2025

All Funds

Prices as of November 26, 2025 and Performance as of September 2025 Fund Fact Sheet

Notes:

The Average Annualized Performance for the 1-year, 3-year, and 5-year periods shown in the tables above represent the fund’s annualized growth rate over each respective interval. These figures are calculated based on the starting and ending values over each period.

For MyLifeChoice, Asset Master, 3G-Xceed policies, Retire Smart and Phoenix Funds, the Bid Price is the same as the Offer Price. The 5% bid-offer spread is not applicable.

* Currently this fund has not reached a tenure of 5 years
** Currently this fund has not reached a tenure of 3 and 5 years
*** Currently this fund has not reached a tenure of 1, 3 and 5 years

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