A customer joined the Securities Savings Scheme in July 2017. It is assumed that shares of Tracker Fund (Stock Code: 02800) were bought at the closing price at the end of each month with monthly contribution of HK$3,000.
| Date | Net Investment Amount* (HK$) | Purchase Price (HK$) | Number of Shares Bought | Number of Shares Accumulated | Net Dividend Received**(HK$) |
|---|---|---|---|---|---|
| 07/2017 | 2,979.50 | 27.90 | 105 | 105 | |
| 08/2017 | 2,982.50 | 28.75 | 102 | 207 | |
| 09/2017 | 2,975.20 | 28.40 | 103 | 310 | |
| 10/2017 | 2,980.35 | 28.45 | 103 | 413 | 290.14 |
| 11/2017 | 2,995.00 | 29.45 | 100 | 513 | |
| 12/2017 | 2,994.90 | 30.05 | 98 | 611 | |
| 01/2018 | 2,995.90 | 33.10 | 89 | 700 | |
| 02/2018 | 2,973.40 | 31.10 | 94 | 794 | |
| Total | 23,876.75 | 794 | 290.14 |
Example as of July 2017:
Net investment amount = HK$27.90 x 105 shares + HK$50 (Transaction fee for buying shares) = HK$2,979.50
Refund of buying the particular shares = HK$3,000 − HK$2,979.50 = HK$20.50
Total:
Cost per share = HK$23,876.75 ÷ 794 shares = HK$30.07
Investment returns up to February 2018 = asset appreciation *** + net dividend received
= (HK$31.10 − HK$30.07) x 794 shares + HK$290.14** = HK$1,107.96
| * | Net investment amount = monthly contribution amount − refund |
| ** | Net dividend received = amount of dividend paid by the listed company − charges on dividend collection – registration and transfer fee = (413 shares X$0.78 per share)-$30-$2 |
| *** |
Asset appreciation = (closing price of the day − cost per share) x number of shares accumulated Remark: The above prices are for reference only. |
| Details of Securities Savings Scheme | |
|---|---|
| Characteristics | Monthly contribution will be utilised to purchase shares selected by customers to the nearest units of share. Shares purchased will be directly deposited to customers' Securities Account of CMB Wing Lung Bank, and monthly statement showing transaction details will be issued. Investment term is flexible. |
| Payment method | Monthly contribution will be automatically debited from customers' savings/current account (settlement account)with CMB Wing Lung Bank. |
| Payment date | Payment will be made on the specified date each month (the actual payment date varies according to individual share). |
| Share purchase date/Refund date | Two trading days after the payment date. |
| Contribution amount | Minimum HK$1,000 per month with an increment of HK$500 or its multiples, maximum HK$20,000 per month. For each scheme, customers can invest in shares of one listed company. |
| Transaction fee for buying shares | Flat charge of HK$50 (including all trade-related charges). |
| Transaction fee for selling shares | Same as normal charges for selling shares. Please refer to Securities Services Charges on the General Banking and CMB Wing Lung Sunflower Service Charges for details. |
| Other charges | Charges on collection of dividend, bonus issued and other corporate actions will be levied according to Securities Services Charges on the General Banking and CMB Wing Lung Sunflower Service Charges. |
| Shares for selection and monthly payment date | |||||||
|---|---|---|---|---|---|---|---|
| 2nd | HSBC HOLDINGS (00005) |
HANG SENG BANK (00011) |
CHINA SHENHUA (01088) | GALAXY ENT (00027) | CHINA LIT (00772) | COUNTRY GARDEN (02007) | CHINA RES POWER (00836) |
| 5th | CKH HOLDINGS (00001) |
HKEX (00388) |
BANK OF CHINA (03988) | WANT WANT CHINA (00151) | TENCENT (00700) | WYNN MACAU (01128) | |
| 8th |
HENDERSON LAND (00012) |
SHK PPT (00016) | SINOPEC CORP (00386) |
CCB (00939) |
CNOOC (00883) | AAC TECH (02018) | |
| 11th | CLP HOLDINGS (00002) | CHINA MOBILE (00941) |
CHINA COMM CONSL (01800) |
PING AN (02318) | CONCH CEMENT (00914) | MENGNIU DAIRY (02319) | |
| 14th | MTR CORPORATION (00066) |
TRACKER FUND (02800) |
WISECSI300ETF (02827) | ZIJIN MINING (02899) | CSPC PHARMA (01093) | SUNNY OPTICAL (02382) |
SHENZHOU INTL (02313) |
| 17th |
HK & CHINA GAS (00003) |
PETROCHINA (00857) | CKI HOLDINGS (01038) | ISHARES A50 (02823) | SINOPHARM (01099) | XIAOMI-W (01810) | |
| 20th |
SWIRE PACIFIC A (00019) |
CHINA LIFE (02628) | STANCHART (02888) | GEELY AUTO (00175) | CK ASSET (01113) | WH GROUP (00288) | |
| 21st | POWER ASSETS (00006) | LINK REIT (00823) |
BOC HONG KONG (02388) |
YUEXIU REIT (00405) |
AIA (01299) |
WH GROUP (00762) | |
| 24th | MANULIFE-S (00945) |
ICBC (01398) |
HSCEI ETF (02828) | BANKCOMM (03328) | WHARF REIC (01997) |
CSOP A50 ETF (02822) |
|
Warning: To borrow or not to borrow? Borrow only if you can repay!
Enquiry Hotline: 230 95555