IMPORTANT INFORMATION ABOUT ACCESS TO THIS WEBSITE
The information provided on this website is not intended for distribution to, or use by, any person in the United States or in any jurisdiction or country where such distribution or use would be contrary to law or regulation. Northstar products are not available to US persons or citizens or residents of Bermuda. The website has been created for informational purposes only and is intended for use only by authorized distributors or current policyholders.
Please download and read the Terms & Conditions of Use below carefully. These set out the terms and conditions for accessing this website. After you have read and understood the Terms & Conditions of Use, you may click “I Accept” to proceed. By doing so, you:
i) confirm that you are accessing this website on an unsolicited basis, on your own initiative and in compliance with the laws and regulations of the jurisdiction or country in which you are residing;
ii) confirm your understanding that this website contains information about investment and/or insurance products and services that may not be available to persons in your jurisdiction;
iii) confirm that to the extent that any information contained in this website relates to any security or insurance, you will not use such information either directly or indirectly in connection with any purchase or sale, or the solicitation of any offer to purchase or sell, any security or insurance to or from any person that would violate the securities, insurance or other laws of any jurisdiction; and
iv) acknowledge expressly that you have read and understood the Terms & Conditions of Use and agree to abide by them.
By clicking ‘I Accept’ you confirm your understanding and acceptance of the criteria detailed above, and that you have read and accept the Terms & Conditions of Use.
NORTHSTAR – TERMS & CONDITIONS OF USEI Accept
随后我们对基金进行严格的统计分析, 查看各种历史表现和风险指标, 然后使用股票及固定收益基金, 以及某些消极型指数基金, 根据投资组合中不同资产类别之间的目标配置来选择基金.
持续在下述多个类别中开展基金评估和风险监控, 以确保基金和模型持续符合最初标准. 可能会删除或用经批准队列的其他基金替代得分不理想的基金. 可能会不时向模型投资组合添加新基金, 并还会调整可分配给基金的权重. 预期每季度会重新平衡模型投资组合以及所有受影响的合同, 以体现最新配置和权重, 但更改频率可能会提高或降低.
|1 年中的绩效||标准偏差 (1 和 3 年)||资产管理规模 (AUM) 中的百分比变化|
|3 年中的年度化绩效||夏普比率 (Sharpe)||策略完整性 (风格转变)|
Northstar Financial Services (Bermuda) Ltd. 与上述任何公司没有联营关系.
Northstar 产品不出售给美国人或百慕大公民或居民. 请参阅合约样本, 了解关于特定产品的所有条款与条件的完整说明. 模型投资组合不在加拿大发售, 亦不供加拿大居民认购.
如需各项基金的完整信息, 请参阅相关基金招股说明书. 上述投资组合配置截至发布之日准确无误, 可能随时更改.