YF Life Expands Scope of Support, Offering Special Financial Aid to Affected Customers

We express our deepest condolences and sympathy to all customers and families affected by the recent Tai Po fire disaster.

A special customer service hotline has been established at 2533 5592 to provide immediate consultation services, including:
Special Compassionate Financial Support
Special Emergency Support Services
Flexible Policy and Premium Arrangements
Extended Grace Periods


In the face of this challenging time, YF Life is committed to supporting all affected customers through tangible actions, standing alongside them to move beyond the shadow of this disaster and return to a stable life. [Learn More]

Global Series and Premier-Choice Series

Investment Choice Search

FRANKLIN TEMPLETON GLOBAL FUNDS PLC - FTGF CLEARBRIDGE US AGGRESSIVE GROWTH FUND CLASS A ACC (LMUGU)

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Note: The following price information refers to the bid price of the investment choice. Any underlying fund dividends (for distribution class) are not reflected in the price movement chart and historical prices listed. Please refer to the Global Series and Premier-Choice Series Investment Choice Brochure for details of distribution class of the underlying funds. For the cumulative rates of returns and rates of returns by calendar year of the underlying fund, please refer to the page of “Indexed Performance”.

Price Movement in USD

Note: Data is available from 12/07/2020 to 10/31/2025

Latest Bid/Offer Prices (USD)
Bid313.0000(10/31/2025)
Offer Price313.0000(10/31/2025)
 
52-week Bid Price (USD)
High315.9500(10/28/2025)
Low222.3700(04/08/2025)
 
12/07/2020 to 10/31/2025
Bid Price (USD)
High315.9500(10/28/2025)
Low183.4500(06/16/2022)

Pages

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Valuation Date (MM/DD/YYYY)Bid Price (USD)
10/31/2025313.0000
10/28/2025315.9500
10/27/2025315.7800
10/24/2025312.4400
10/23/2025309.4500
10/22/2025305.4800
10/21/2025308.1100
10/20/2025307.2300
10/17/2025304.1800
10/16/2025304.0600
10/15/2025306.5300
10/14/2025305.2400
10/13/2025305.3700
10/10/2025297.8200
10/09/2025307.6400
10/08/2025309.0100
10/06/2025306.3800
10/03/2025306.1600
10/02/2025306.4500
09/30/2025304.4400
09/29/2025304.8000
09/26/2025302.1200
09/25/2025300.3800
09/23/2025307.6100

Important Information

Investment involves risks. The unit price of investment choices may go down as well as up. Past performance is not indicative of future performance. For details of the investment-linked insurance products, including charges and risk factors, and the relevant charges of the investment choices, please refer to their offering documents.

For details of the underlying funds, please refer to the offering documents of the respective underlying funds, which are available from the Company upon request and at the Company’s website.

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