BPI Investment funds

Investment funds monitor - absolute returns as of May 08, 2024.

Bond funds

Bond fundsNAVPUDoD¹YTD²1 year3 years5 years
BPI Short Term Fund  167.73 0.01%1.64%4.48%7.48%11.48%
BPI Money Market Fund284.05 0.01%1.67%4.79%8.71%14.79%
BPI Premium Bond Fund  204.77 -0.01%0.53%2.25%2.74%11.57%
BPI Global Bond Fund-of-Funds3176.76 0.28%-0.10%4.11%-5.80%2.64%
BPI US Dollar Short Term Fund3333.13 0.01%1.64%4.52%6.57%9.40%
ABF Philippines Bond Index Fund3259.14 0.48%-2.09%0.78%-0.23%17.09%
BPI Philippine Dollar Bond Index Fund  234.24 0.03%-1.12%2.30%-7.31%4.60%
BPI Sustainable Global Bond Fund-of-Funds Class A (USD Class)399.44 0.30%0.18%4.27%--

Balanced funds

Balanced fundsNAVPUDoD¹YTD²1 year3 years5 years
BPI Balanced Fund170.34 0.41%1.90%1.57%6.55%-4.09%
BPI Bayanihan Balanced Fund118.97 0.06%1.02%3.28%7.59%16.20%
BPI US Dollar Income Feeder Fund377.67 0.25%2.60%1.01%-16.60%-20.67%
BPI Sustainable Global Balanced Fund-of-Funds Class A (USD Class)3105.43 0.43%3.06%10.72%--

Equity funds

Equity FundsNAVPUDoD1YTD21 YR3 YRS5 YRS
BPI Equity Value Fund150.55 0.76%4.24%2.98%11.20%-11.09%
BPI Global Equity Fund-of-Funds3529.98 0.36%7.49%20.49%3.46%45.10%
BPI Philippine High Dividend Equity Fund131.77 0.56%7.31%7.93%20.57%-1.63%
BPI Philippine Equity Index Fund94.76 0.77%4.17%2.27%10.95%-11.39%
BPI US Equity Index Feeder Fund3277.41 0.11%8.34%25.06%23.34%81.05%
BPI European Equity Feeder Fund3168.81 0.58%11.02%16.33%19.83%62.54%
BPI Philippine Consumer Equity Index Fund81.73 -0.50%0.79%-7.20%-3.54%-24.18%
BPI Philippine Infrastructure Equity Index Fund146.32 1.07%17.70%26.56%79.31%53.12%
BPI Catholic Values Global Equity Feeder Fund3190.49 1.19%15.82%32.48%37.07%71.71%
BPI US Equity Index Feeder Fund (Class A)3277.41 0.11%8.34%24.68%23.34%81.05%
BPI US Equity Index Feeder Fund (Class P)3189.84 0.11%11.96%29.41%47.47%-
BPI World Technology Feeder Fund (Class A)398.30 0.10%11.27%43.78%4.34%-
BPI Global Health Care Feeder Fund Class A (USD Class)394.83 0.81%3.58%5.35%-2.18%-
BPI Sustainable Global Equity Fund-of-Funds Class A (USD Class)3108.57 0.67%5.07%15.89%--
Odyssey funds

Bond funds

Bond fundsNAVPUDoD¹YTD²1 year3 years5 years
Odyssey Peso Medium-Term Bond Fund148.82 0.00%-0.29%1.86%2.49%14.74%
Odyssey Peso Bond Fund320.44 0.01%-2.07%-0.34%0.36%16.92%
Odyssey Phl. Dollar Bond Fund30.65 -0.03%-1.70%0.82%-3.92%6.76%

Balanced funds

Balanced fundsNAVPUDoD¹YTD²1 year3 years5 years
Odyssey Diversified Cap. Fund190.74 0.26%-1.31%-0.42%2.53%7.09%
Odyssey Diversified Bal. Fund201.69 0.44%-0.62%0.12%5.24%2.80%

Equity funds

Equity fundsNAVPUDoD¹YTD²1 year3 years5 years
Odyssey Phl. Equity Fund415.10 0.98%4.40%3.60%14.57%-9.78%
Odyssey Phl. High Con. Eq. Fund117.91 0.82%2.31%0.43%6.67%-15.41%
Odyssey AP High Div. Eq.  Fund312.78 0.63%5.45%8.12%-3.47%10.08%

BPI PERA funds

BPI PERA fundsNAVPUDoD¹YTD²1 year3 years5 years
BPI Pera Money Market1.29 0.00%2.38%6.61%14.16%24.04%
BPI Pera Govt Bond Fund1.32 0.00%-2.22%0.76%8.20%26.92%
BPI Pera Corp1.16 0.00%0.87%3.57%5.45%18.37%
BPI Pera Equity Fund0.97 1.04%1.04%3.19%12.79%-8.49%
Notes:

1 Percentage change from t-2 prices DoD: Day-on-Day
2 Percentage change from December 29, 2023
3 Prices are as of t-2; Percentage change from t-3 prices
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