Dear Valued Client,
We are pleased to inform you that the BPI Global Bond Income Fund (the “Fund”) shall distribute unit income with the following details:
| USD Class | PHP Class |
---|---|---|
Record Date (All registered unitholders as of Record Date are eligible to receive income from the Fund.) | 29 July 2025 | |
Net Asset Value Per Unit (NAVPU) as of Record Date | 101.62 | 104.99 |
Unit Income Ratio | 0.0050 unit for every unit held | 0.0051 unit for every unit held |
The approximate income that will be received by each eligible unitholder may be computed as follows:
Income = Units Held as of Record Date x Unit Income Ratio x NAVPU as of Record Date
This amount will be credited to said unitholder’s BPI settlement account on or before 8 August 2025.
Subsequent income distributions from the Fund will be announced through email. For this purpose, kindly make sure you update your email address at a BPI branch near you.
For any questions, send an email to bpiwealth@bpi.com.ph or call us at (+632) 889-10000.
Thank you for your continued trust.
Sincerely,
Sgd
Lea Angeline A. Maranan
Head, Experience Management
Important: Payment of income may reduce the NAVPU of the fund. The NAVPU also reflects the daily marking-to-market of the underlying investments of the fund. Payment of income will depend on the fund's income for the relevant period and will be distributed proportionately to eligible investors. This payment of income does not in any way guarantee or purport that further distributions will be made.