IMPORTANT NOTE:
  • The investment choices (“Investment Choices”) listed in this website are available under investment-linked insurance plans issued by Prudential Hong Kong Limited (“Prudential” or “our” or “we” or “us”) only. Your investments are subject to the credit risk of Prudential and other investment risks.
  • The Investment Choices can have very different features and risk profiles. Some of them may even be of high risk. The reference funds of some Investment Choices are derivative funds with net derivative exposure exceeding 50% of their net asset value. These Investment Choices have been marked with a “ϕ” symbol for ease of reference. They may only be suitable for investors who understand the complicated structure of derivative products and their associated risk. You may incur significant loss if investing in such Investment Choices. You are strongly advised to exercise caution in relation to such Investment Choice(s).
  • [Only applicable to PRULink Opal Investment Plan and PRULink Empower Investment Plan] The Investment Choice designated with “(Dis)” in its name (the “Investment Choice (Cash Distribution)”) may distribute regular cash dividends and is available through PRULink Opal Investment Plan and PRULink Empower Investment Plan only. If you invest in the Investment Choice (Cash Distribution), we will pay you a cash dividend once we receive a dividend from the reference fund(s) of Investment Choice (Cash Distribution). Please note:
    1. The distribution of cash dividends from reference fund of the Investment Choice (Cash Distribution), dividend amounts and distribution frequency are not guaranteed and are subject to the discretion of the reference fund. The cash dividend amounts we have paid are not an indication, forecast or projection of future cash dividends in any way.
    2. A reference fund of the Investment Choice (Cash Distribution) may pay cash dividends out of its investment income, capital gains or capital, according to its dividend policy. The reference fund may at its discretion pay cash dividends out of the capital or out of gross income while charging or paying all or part of its fees and expenses to/out of the capital, resulting in an increase in distributable income for the payment of cash dividends by the reference fund and therefore, the reference fund may effectively pay dividend out of capital. Payment of dividends out of capital amounts to a return or withdrawal of part of your original investment or from any capital gains attributable to that original investment. Any distributions involving payment of cash dividends out of capital or effectively out of capital may result in an immediate reduction of the net asset value per unit of the reference fund. Reduction in the reference fund unit price is reflected in the price of the Investment Choice (Cash Distribution) accordingly.
    3. The Investment Choice (Cash Distribution) that pays out cash dividends may lower the value of your investment-linked insurance policy account and your death benefit amount may be reduced accordingly when compare to Investment Choice that reinvests dividends. Should your policy account value fall to zero, the policy will terminate.
    4. Be sure you understand the Investment Choice (Cash Distribution) before you select it.
    Warning: Please note that a positive distribution yield does not imply a positive return. Investors should not make any investment decision solely based on information contained herein.
  • Your potential return on investment is calculated by us with reference to the performance of the corresponding reference funds of the Investment Choices. Performance of such Investment Choices may not be identical to the performance of the corresponding reference funds due to the differences in currency and/or rounding mechanism for valuation.
  • Your potential return on investment under the investment-linked insurance plans shall be subject to ongoing fees and charges which will continue to be deducted from the policies, hence, it may be lower than the return of the corresponding reference funds.
  • The premiums received from you will be invested by us into the reference funds corresponding to the Investment Choices as selected by you for our asset liability management. However, the unit(s) allocated to your policy account is notional and is solely for the purpose of determining the account value and benefits under your policy.
  • The premiums you pay towards the investment-linked insurance plans, and any investments made by us in the reference funds corresponding to the Investment Choices you selected or any other investment we may consider appropriate or retained by us, will become and remain part of our assets. You do not have any rights or ownership over any of these assets. Your recourse under the investment-linked insurance plans is against Prudential only.
  • Partial withdrawal, surrender or termination of investment-linked insurance plans in early years may significantly reduce the value of the policies while all fees and charges are still deductible. Poor performance of reference funds may further magnify your investment losses. If the value of the policies become insufficient to cover all the ongoing fees and charges, the policies will be terminated early and you could lose all your premiums paid and benefits.
  • You should not purchase investment-linked insurance plans unless you understand it and it has been explained to you how it is suitable for you. The final decision is yours.
  • Investment involves risks. Past performance should not be taken as indication of future performance. Each Investment Choice is subject to market fluctuations and to risks inherent in all investments. The prices of notional units of any Investment Choice as designated by you and income accrued from investing in such Investment Choices may go down as well as up.
  • YOU ARE STRONGLY RECOMMENDED to read the offering documents of the investment-linked insurance plans (including the Product Key Facts Statements (if applicable), the Product Brochures and the Summary Information for Investment Choices) and the relevant offering documents of the reference funds (including, without limitation, their investment objectives and policies, risk factors and charges) carefully, which will be made available by us upon request or downloaded from this website.

Latest Investment Choice Performance

Investment-linked Insurance Plan

Investment Choice Name

Reference Fund Performance Chart


The following investment choices are each linked to an SFC authorised fund. The performance information below are those of the reference fund corresponding to the relevant investment choice.
Bid Price / NAV per unit
Period: 29/01/2016-29/03/2017
Calendar Year Performance (%)
YTD*
Computation Basis: Bid-Bid basis in US$ with dividend reinvested

*As at

NA means not applicable

Δ Performance of reference funds is calculated since launch date of reference funds to the end of the calendar year.

Source of investment choice information: Prudential Hong Kong Limited ("Prudential").

Source of reference fund information: Morningstar Asia Limited.

Investment involves risk, the value of investments and their yield may go down as well as up. Past performance is not indicative of future performance. The prices shown above are for indication purpose only. The above investment choice is available for investment-linked insurance plans, including PRUlink portfolio investment plan, PRUlink single premium investment plan, PRUlink investment plan (PRUlink investment plan was closed for new business since 20 January 2015), PRUlink smart wealth builder (PRUlink smart wealth builder was closed for new business since 1 December 2013), PRUlink wealth builder (PRUlink wealth builder was closed for new business since 1 February 2010), PRUretirement extra (PRUretirement extra was closed for new business since 1 January 2015), PRUkid extra (PRUkid extra was closed for new business since 1 January 2015), PRUlink optimiser plus (PRUlink optimiser plus was closed for new business since 20 January 2015), PRUlink assurance plus (PRUlink assurance plus was closed for new business since 1 October 2013), PRUlink assurance (PRUlink assurance was closed for new business since 1 October 2013), PRUlink investlife (PRUlink investlife was closed for new business since 1 January 2015), PRUflexilife (PRUflexilife was closed for new business since 25 June 2011), Investment Plus (Investment Plus was closed for new business since 1 January 2015), PRUlink maxisavings (PRUlink maxisavings was closed for new business since 16 August 2007) and PRUlink protector (PRUlink protector was closed for new business since 14 November 2005) issued by Prudential. Regarding details of charges, risk factors and the terms and conditions of relevant Prudential's investment-linked insurance products, please refer to the offering documents and/or the policy documents.


Issuer of the webpage: Prudential.

Historical Reference Fund Price Search

The following investment choices are each linked to an SFC authorised fund. The performance information below are those of the reference fund corresponding to the relevant investment choice.

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To

(Length of search range is limited to 3 years)

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Download Price

Valuation Date (dd/mm/yyyy) Bid Price / NAV Per Unit ( US$ ) Offer Price ( US$ )
04/03/2025 262.8900 262.8900
05/03/2025 267.0300 267.0300
06/03/2025 271.5800 271.5800
07/03/2025 270.6900 270.6900
10/03/2025 267.9400 267.9400
11/03/2025 263.3100 263.3100
12/03/2025 263.0100 263.0100
13/03/2025 263.0900 263.0900
14/03/2025 262.7300 262.7300
18/03/2025 263.7400 263.7400
19/03/2025 262.6500 262.6500
20/03/2025 262.9400 262.9400
21/03/2025 260.9800 260.9800
24/03/2025 259.5700 259.5700
25/03/2025 262.0500 262.0500
26/03/2025 264.9200 264.9200
27/03/2025 265.5500 265.5500
28/03/2025 265.1300 265.1300
31/03/2025 259.0100 259.0100
01/04/2025 261.7900 261.7900
02/04/2025 262.7100 262.7100
03/04/2025 259.8100 259.8100
04/04/2025 242.3700 242.3700
07/04/2025 230.6000 230.6000
08/04/2025 233.4500 233.4500
09/04/2025 232.3800 232.3800
10/04/2025 246.8200 246.8200
11/04/2025 247.4800 247.4800
14/04/2025 251.2000 251.2000
15/04/2025 253.3500 253.3500
16/04/2025 252.6600 252.6600
17/04/2025 253.9500 253.9500
22/04/2025 256.2600 256.2600
23/04/2025 259.7200 259.7200
24/04/2025 258.7700 258.7700
25/04/2025 260.7700 260.7700
28/04/2025 261.4500 261.4500
29/04/2025 263.4100 263.4100
30/04/2025 267.3400 267.3400
01/05/2025 267.1900 267.1900
02/05/2025 271.1500 271.1500
06/05/2025 274.7700 274.7700
07/05/2025 276.6200 276.6200
08/05/2025 274.5500 274.5500
09/05/2025 275.7700 275.7700
12/05/2025 275.6100 275.6100
13/05/2025 277.0200 277.0200
14/05/2025 280.7400 280.7400
15/05/2025 283.1600 283.1600
16/05/2025 284.6200 284.6200
19/05/2025 283.9100 283.9100
20/05/2025 283.5800 283.5800
21/05/2025 285.0000 285.0000
22/05/2025 284.8100 284.8100
23/05/2025 286.1100 286.1100
27/05/2025 285.4900 285.4900
28/05/2025 285.8200 285.8200
29/05/2025 285.4900 285.4900
30/05/2025 283.1200 283.1200
03/06/2025 282.9900 282.9900
04/06/2025 282.9700 282.9700
05/06/2025 284.7900 284.7900
06/06/2025 284.9400 284.9400
09/06/2025 284.0900 284.0900
10/06/2025 284.7700 284.7700
11/06/2025 283.0500 283.0500
12/06/2025 283.8300 283.8300
13/06/2025 281.7100 281.7100
16/06/2025 280.7900 280.7900
17/06/2025 281.8100 281.8100
18/06/2025 279.3600 279.3600
19/06/2025 274.4200 274.4200
20/06/2025 274.3200 274.3200
23/06/2025 271.0000 271.0000
24/06/2025 276.7900 276.7900
25/06/2025 278.3100 278.3100
26/06/2025 280.1800 280.1800
27/06/2025 280.8100 280.8100
30/06/2025 281.4500 281.4500
01/07/2025 283.4600 283.4600
02/07/2025 281.0000 281.0000
03/07/2025 281.8400 281.8400
04/07/2025 281.3300 281.3300
07/07/2025 281.0700 281.0700
08/07/2025 281.7100 281.7100
09/07/2025 281.1800 281.1800
10/07/2025 283.5100 283.5100
11/07/2025 284.4000 284.4000
14/07/2025 284.6100 284.6100
15/07/2025 286.4300 286.4300
16/07/2025 286.9000 286.9000
17/07/2025 289.6600 289.6600
18/07/2025 292.2100 292.2100
21/07/2025 292.6400 292.6400
22/07/2025 289.0700 289.0700
23/07/2025 292.9800 292.9800
24/07/2025 295.2300 295.2300
25/07/2025 293.1400 293.1400
28/07/2025 293.0500 293.0500
29/07/2025 293.0100 293.0100
30/07/2025 292.0500 292.0500
31/07/2025 289.2500 289.2500
01/08/2025 286.8800 286.8800
05/08/2025 294.4000 294.4000
06/08/2025 295.2400 295.2400
07/08/2025 297.1400 297.1400
08/08/2025 296.7900 296.7900
11/08/2025 296.7400 296.7400
12/08/2025 298.7700 298.7700
13/08/2025 305.9100 305.9100
14/08/2025 303.7500 303.7500
15/08/2025 302.7900 302.7900
18/08/2025 301.6300 301.6300
19/08/2025 300.0800 300.0800
20/08/2025 300.8000 300.8000
21/08/2025 300.8500 300.8500
22/08/2025 300.3700 300.3700
26/08/2025 302.1800 302.1800
27/08/2025 302.5000 302.5000
28/08/2025 301.9500 301.9500
29/08/2025 300.3200 300.3200
01/09/2025 300.0800 300.0800
02/09/2025 300.1100 300.1100
03/09/2025 299.9300 299.9300
04/09/2025 301.3700 301.3700
05/09/2025 305.4600 305.4600
08/09/2025 304.9700 304.9700
09/09/2025 304.3000 304.3000
10/09/2025 306.8900 306.8900
11/09/2025 308.3300 308.3300
12/09/2025 310.4000 310.4000
15/09/2025 310.0500 310.0500
16/09/2025 311.1100 311.1100
17/09/2025 310.3700 310.3700
18/09/2025 308.8200 308.8200
19/09/2025 308.8700 308.8700
22/09/2025 307.8700 307.8700
23/09/2025 306.9100 306.9100
24/09/2025 304.2700 304.2700
25/09/2025 302.9800 302.9800
26/09/2025 300.9200 300.9200
29/09/2025 301.4900 301.4900
30/09/2025 301.2100 301.2100
01/10/2025 301.0400 301.0400
02/10/2025 304.6800 304.6800
03/10/2025 306.1200 306.1200
06/10/2025 304.7400 304.7400
07/10/2025 308.9600 308.9600
08/10/2025 308.5000 308.5000
09/10/2025 310.4300 310.4300
10/10/2025 306.7500 306.7500
13/10/2025 304.8200 304.8200
14/10/2025 300.8200 300.8200
15/10/2025 305.1100 305.1100
16/10/2025 303.6300 303.6300
17/10/2025 300.3400 300.3400
20/10/2025 303.5800 303.5800
21/10/2025 305.4600 305.4600
22/10/2025 303.6100 303.6100
23/10/2025 304.4300 304.4300
24/10/2025 305.7500 305.7500
28/10/2025 306.6700 306.6700
29/10/2025 308.6100 308.6100
30/10/2025 307.1500 307.1500
31/10/2025 306.9300 306.9300
03/11/2025 306.7300 306.7300
04/11/2025 304.6800 304.6800
05/11/2025 304.2700 304.2700
06/11/2025 307.3500 307.3500
07/11/2025 307.0400 307.0400
10/11/2025 307.2900 307.2900
11/11/2025 306.3800 306.3800
12/11/2025 306.1300 306.1300
13/11/2025 307.3600 307.3600
14/11/2025 303.1700 303.1700
17/11/2025 304.8300 304.8300
18/11/2025 302.7200 302.7200
19/11/2025 303.5100 303.5100
20/11/2025 303.9600 303.9600
21/11/2025 297.6600 297.6600
24/11/2025 299.4000 299.4000
25/11/2025 301.9200 301.9200
26/11/2025 302.8000 302.8000
27/11/2025 301.8000 301.8000
28/11/2025 302.7600 302.7600
01/12/2025 304.9700 304.9700
02/12/2025 304.8000 304.8000
03/12/2025 305.1900 305.1900
04/12/2025 304.0700 304.0700
05/12/2025 304.9400 304.9400
08/12/2025 304.8600 304.8600
09/12/2025 303.5000 303.5000
10/12/2025 304.3700 304.3700
11/12/2025 304.0900 304.0900
12/12/2025 306.8500 306.8500
15/12/2025 307.8000 307.8000
16/12/2025 305.0800 305.0800
17/12/2025 306.3400 306.3400
18/12/2025 304.7600 304.7600
19/12/2025 304.9300 304.9300
22/12/2025 309.5000 309.5000
23/12/2025 310.9300 310.9300
24/12/2025 312.0900 312.0900
30/12/2025 311.8700 311.8700
31/12/2025 311.2100 311.2100
02/01/2026 311.7400 311.7400
05/01/2026 314.5300 314.5300
06/01/2026 317.9700 317.9700
07/01/2026 318.5900 318.5900
08/01/2026 316.5300 316.5300
09/01/2026 315.1400 315.1400
12/01/2026 316.3700 316.3700
13/01/2026 317.0100 317.0100
14/01/2026 318.5000 318.5000
15/01/2026 319.9900 319.9900
16/01/2026 321.6200 321.6200
19/01/2026 321.2300 321.2300
20/01/2026 321.3200 321.3200
21/01/2026 321.6600 321.6600
22/01/2026 323.0000 323.0000
23/01/2026 326.7100 326.7100
26/01/2026 327.8500 327.8500
27/01/2026 329.5600 329.5600
28/01/2026 328.2700 328.2700
29/01/2026 328.1000 328.1000
30/01/2026 325.4800 325.4800
03/02/2026 325.0100 325.0100
04/02/2026 324.0900 324.0900
05/02/2026 321.5200 321.5200
06/02/2026 320.2300 320.2300
09/02/2026 325.9000 325.9000
10/02/2026 328.6700 328.6700
11/02/2026 330.9000 330.9000
12/02/2026 334.2000 334.2000
13/02/2026 327.9400 327.9400
16/02/2026 328.9300 328.9300
17/02/2026 329.1000 329.1000
18/02/2026 331.5200 331.5200
19/02/2026 334.6000 334.6000
20/02/2026 335.5800 335.5800
23/02/2026 339.3500 339.3500
24/02/2026 338.9900 338.9900
25/02/2026 341.0700 341.0700
26/02/2026 340.5500 340.5500
27/02/2026 340.0400 340.0400
02/03/2026 330.2000 330.2000
03/03/2026 323.7300 323.7300
Source of investment choice information: Prudential Hong Kong Limited ("Prudential").

Source of reference fund information: Morningstar Asia Limited.

Investment involves risk, the value of investments and their yield may go down as well as up. Past performance is not indicative of future performance. The prices shown above are for indication purpose only. The above investment choice is available for investment-linked insurance plans, including PRUlink portfolio investment plan, PRUlink single premium investment plan, PRUlink investment plan (PRUlink investment plan was closed for new business since 20 January 2015), PRUlink smart wealth builder (PRUlink smart wealth builder was closed for new business since 1 December 2013), PRUlink wealth builder (PRUlink wealth builder was closed for new business since 1 February 2010), PRUretirement extra (PRUretirement extra was closed for new business since 1 January 2015), PRUkid extra (PRUkid extra was closed for new business since 1 January 2015), PRUlink optimiser plus (PRUlink optimiser plus was closed for new business since 20 January 2015), PRUlink assurance plus (PRUlink assurance plus was closed for new business since 1 October 2013), PRUlink assurance (PRUlink assurance was closed for new business since 1 October 2013), PRUlink investlife (PRUlink investlife was closed for new business since 1 January 2015), PRUflexilife (PRUflexilife was closed for new business since 25 June 2011), Investment Plus (Investment Plus was closed for new business since 1 January 2015), PRUlink maxisavings (PRUlink maxisavings was closed for new business since 16 August 2007) and PRUlink protector (PRUlink protector was closed for new business since 14 November 2005) issued by Prudential. Regarding details of charges, risk factors and the terms and conditions of relevant Prudential's investment-linked insurance products, please refer to the offering documents and/or the policy documents.


Issuer of the webpage: Prudential.