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Important Notes:

  1. Manulife Global Fund – Global Semiconductor Opportunities Fund (the “Fund” or “Manulife Global Semiconductor Opportunities Fund”) invests primarily in equity and equity related securities of companies in the semiconductor and semiconductor-related industries, listed globally (including in emerging markets from time to time), including, but not limited to, common stocks and depositary receipts, which may involve equity market, semiconductor industry, concentration, small-cap/mid-cap, liquidity and volatility, and currency risks.Certain investors may also be subject to the risk relating to RMB hedged share class.
  2. The Fund intends to use financial derivative instruments (“FDIs”) for investment, efficient portfolio management and/or hedging purposes. The use of FDIs exposes the Fund to additional risks, including leverage risk, management risk, market risk, credit risk and liquidity risk.
  3. Investment involves risk. The Fund may expose its investors to capital loss. Investors should not base on this material alone to make investment decisions and should read the offering document for details, including the risk factors, charges and features of the Fund and its share classes.
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Why invest in Semiconductors?

Capturing opportunities within the dynamic mega trends shaping our future world1

  • Advancements in semiconductors have been a key driver in technological breakthroughs over the past decades and should continue to accelerate mega trends amid the ongoing AI revolution and economy digitalization, leading semiconductors sales to unprecedented heights.

Global semiconductor market size (1990-2030E) (USD, billion)


Semiconductors delivered attractive return over the long term7

  • Semiconductor sector significantly outperformed Nasdaq and S&P 500 over the past 10 years.
  • We believe undiscovered “GEM”s in Semiconductor sector should continue to rise amid the AI wave.

Accumulated return for the past 10 years (2014 to 2024, %)

 

 

 

 


Why Manulife Global Semiconductor Opportunities Fund?

Active management to capture the growth potential of semiconductor amid AI boom

  • A specialized investment strategy focused on semiconductors, supplemented by high conviction investment across the AI value chain, aiming to capture the massive investment opportunities and navigate through various semiconductor growth cycles

 

 

 

Key features of our “A.I. CHIP” Fund

  • A unique “Active Investing” strategy to harvest growth potential from champions of today and tomorrow

 


 

 

 

Manulife Investment Management’s expertise9

We are the global wealth and asset management segment of Manulife Financial Corporate. We draw on more than 150 years of financial stewardship to partner with clients across our global retail, institutional and retirement businesses.

26+ years

investment experience of lead portfolio manager for the Fund

 

20

technology sector analysts globally

 

USD 116 billion

AUM in equity assets

 

Fund information

Fund name Manulife Global Fund – Global Semiconductor Opportunities Fund

Investment objective

Global Semiconductor Opportunities Fund aims to achieve capital appreciation by investing at least 70% of its net assets in equity and equity related securities of companies in the semiconductor and semiconductor-related industries, listed globally (including in emerging markets from time to time), including, but not limited to, common stocks and depositary receipts. The business of these companies will include, but are not limited to, development and production of semiconductors and related equipment and components, as well as the direct downstream beneficiaries of advancements within the semiconductor industry.

Base currency

USD

Available share classes

AA
AA Acc
AA (HKD) Acc
AA (AUD Hedged) Acc
AA (RMB Hedged) Acc
AA (JPY Hedged) Acc

Subscription fee (Initial charge)

Currently up to 5% of the subscription amount

Management fee*

Currently 1.50% p.a.

* This fee may be increased up to a maximum of 6%, by giving the affected shareholders not less than three months’ prior notice. Please see section 9.5 of the Prospectus for details.

 

 

 

 

For illustration purposes only.

  1. Source: Bloomberg, SIA, Manulife Investment Management, as of December 2024.
  2. Source: McKinsey on Semiconductors, as of March 2024.
  3. Source: Morningstar, Manulife Investment Management, as of September 2024.
  4. Source: Maybank IBG research, Moody’s, as of September 2024.
  5. Source: Statista, IEA, as of September 2024.
  6. Source: Bloomberg, IoT Analytics, as of September 2024.
  7. Source: Bloomberg, Morningstar, as of 31 December 2024. Past performance is not indicative of future results. Semiconductor represented by Philadelphia Semiconductor Index.
  8. Source: McKinsey on Semiconductors, as of March 2024.
  9. Source: Manulife Financial Corporation as of September 30, 2024. AUM includes certain equity and fixed income portions of balanced investments. The methodologies used to compile the total assets under management are subject to change. Manulife Investment Management’s global investment professional team includes expertise from several Manulife IM affiliates and joint ventures; not all entities represent all asset classes.

Unless otherwise stated, all information sources are from Manulife Investment Management, as of December 31, 2024. Projections or other forwardlooking statements regarding future events, targets, management discipline or other explanations are only current as of the data indicated. There is no assurance that such events will occur, and if they were to occur, the result may be significantly different than that shown here. Investment involves risk. Investors should not make investment decisions based on this material alone and should read the offering document for details, including the risk factors, charges and features of the product. This material has not been reviewed by the Securities and Futures Commission. Issued by Manulife Investment Management (Hong Kong) Limited.

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