Metrobank’s Investment Products

James Ryan Jonas

Metrobank is the largest Philippine bank in terms of assets and overseas presence. The bank's total capital funds on June 30, 2006 stood at P57.3 billion. It has a combined network of over 800 local and international branches/offices, remittance offices and subsidiaries in the Philippines and around the world. For more details about the Metropolitan Bank and Trust Company, read the Metrobank Overview article.

Following is a summary of investment products offered by Metrobank.

Treasury Services

Purchase & Sale of Government Securities

As an accredited Government Securities Eligible Dealer (GSED), Metrobank offers Treasury Bills, Retail Treasury Bonds, or Fixed Rate Treasury Notes (FXTN) for tenors ranging from 3 months up to 7 years. Minimum investment amount is P1,000,000.

Purchase & Sale of USD Government Securities

Metrobank is an accredited dealer of US dollar-denominated Philippine Government Securities for all tenors. Minimum amount for investment is US$50,000.

Unit Investment Trust Funds (UITFs)

Metrofund Starter

A UITF investing in a diversified portfolio of high-yielding fixed income securities.

Fund Classification – Intermediate Bond
Min. Initial Participation – Php 50,000
Min. Additional Participation – Php 50,000
Maintaining Balance – Php 50,000
Investment Horizon – At least 1 year
Holding Period – 30 days
Early Redemption Charge – 50% of income
Trust Fee* – 2.0% p.a. based on NAV of the Fund
Other Fees – 0.015% p.a. Custody Fee
Applicable Tax* – 20% Final Withholding Tax
Dealing Day – Daily up to 12:00NN
Redemption Settlement Date – Next banking day from date of redemption
Benchmark – 91D Mart1 T-Bill Rate
Valuation – Marked-to Market

Metrofund Peak Earner 

A UITF that invests in a diversified portfolio of higher-yielding fixed income securities.

Fund Classification – Intermediate Bond
Min. Initial Participation – Php 1 Million
Min. Additional Participation – Php 100,000
Maintaining Balance – Php 1 Million
Investment Horizon – One Year to Two Years
Holding Period – 30 days
Early Redemption Charge – 50% of income
Trust Fee* – 1.5% p.a. based on NAV of the Fund
Other Fees – 0.015% p.a. Custody Fee
Applicable Tax* – 20% Final Withholding Tax
Dealing Day – Daily up to 12:00NN
Redemption Settlement Date – Next banking day from date of redemption
Benchmark – 182D Mart1 T-Bill Rate
Valuation – Marked-to Market

Metrofund Elite 

A UITF investing in a diversified portfolio of higher-yielding fixed income securities.

Fund Classification – Intermediate Bond
Min. Initial Participation – Php 5 Million
Min. Additional Participation – Php 500,000
Maintaining Balance – Php 5 Million
Investment Horizon – One Year to Two Years
Holding Period – 30 days
Early Redemption Charge – 50% of income
Trust Fee* – 1.0% p.a. based on NAV of the Fund
Other Fee – 0.015% p.a. Custody Fee
Applicable Tax* – 20% Final Withholding Tax
Dealing Day – Daily up to 12:00NN
Redemption Settlement Date – Next banking day from date of redemption
Benchmark – 364D Mart1 T-Bill Rate
Valuation – Marked-to Market

Metro Invest Plus

A build-up investment program through monthly contribution that invests in a diversified portfolio of fixed income securities.

Fund Classification – Intermediate Bond
Min. Initial Participation – Php 5,000
Min. Additional Participation – Php 1,500 monthly
Maintaining Balance – Php 5,000
Investment Horizon – At least 2 years
Holding Period – 90 days
Early Redemption Charge – 50% of income
Trust Fee* – 2.50% p.a. based on NAV of the Fund
Other Fees – 0.015% p.a. Custody Fee
Applicable Tax* – 20% Final Withholding Tax
Dealing Day – Daily up to 12:00NN
Insurance Benefits Life, Accidental Death and Dismemberment, and Total & Permanent Disability Income
– Equivalent to Initial Participation + (Monthly Contribution x 12)
Redemption Settlement Date – Next banking day from date of redemption
Benchmark – 91D Mart1 T-Bill Rate
Valuation – Marked-to Market

Metro Capital Growth Fund

Invests in a diversified portfolio of equities listed at the Philippine Stock Exchange and in Philippine fixed income securities.

Fund Classification – Balanced Fund
Min. Initial Participation – Php 25,000
Min. Additional Participation – Php 25,000
Maintaining Balance – Php 25,000
Investment Horizon – At least 3 years
Holding Period – 90 days
Early Redemption Charge – 50% of income
Trust Fee* – 2.0% p.a. based on NAV of the Fund
Other Fees – 0.015% p.a. Custody Fee
Applicable Tax* – 20% Final Tax on FI Investments
Dealing Day – Daily up to 12:00NN
Redemption Settlement Date – Next banking day from date of redemption
Benchmark – 50% 91D Mart1 T-Bill Rate & 50% PSEi
Valuation – Marked-to Market

MetroDollar Philippine Liquid Fund

Invests in a diversified portfolio of high-yielding US Dollar fixed income securities.

Fund Classification – Intermediate Bond
Min. Initial Participation – US$10,000.00
Min. Additional Participation – US$5,000.00
Maintaining Balance – US$10,000.00
Investment Horizon – 1 year
Holding Period – 90 days
Early Redemption Charge – 50% of income
Trust Fee* – 1.5% p.a. based on NAV of the Fund
Other Fees – 0.0175%p.a. Custody Fee
Applicable Tax* – 7.5% Final Withholding Tax
Dealing Day – Daily up to 11:00AM
Redemption Settlement Date – Next banking day from date of redemption
Benchmark – 3-Month LIBOR
Valuation – Marked-to Market

MetroDollar Philippine Bond Fund

A medium-term UITF investing in a diversified portfolio of high-yielding US Dollar fixed income securities.

Fund Classification – Medium-term Bond
Min. Initial Participation – US$10,000.00
Min. Additional Participation – US$5,000.00
Maintaining Balance – US$10,000.00
Investment Horizon – 2 years
Holding Period – 90 days
Early Redemption Charge – 50% of income
Trust Fee* – 1.5% p.a. based on NAV of the Fund
Other Fees – 0.0175%p.a. Custody Fee
Applicable Tax* – 7.5% Final Withholding Tax
Dealing Day – Daily up to 11:00AM
Redemption Settlement Date – Next banking day from date of redemption
Benchmark – 12-Month LIBOR
Valuation – Marked-to Market

MetroDollar Asian Bond Fund

Invests in investment grade sovereign and corporate bonds of Korea, Singapore, Hong Kong, China, Thailand, Malaysia, and US treasuries.

Fund Classification – Medium-term Bond
Min. Initial Participation – US$10,000.00
Min. Additional Participation – US$10,000.00
Maintaining Balance – US$10,000.00
Investment Horizon – 1 year
Holding Period – 90 days
Early Redemption Charge – 50% of income
Trust Fee* – 1.0% p.a. based on NAV of the Fund
Other Fees – 0.0175%p.a. Custody Fee
Applicable Tax* – 7.5% Final Withholding Tax
Dealing Day – Every Tuesdays and Wednesdays up to 11:00AM
Redemption Settlement Date – seven (7) calendar days from date of redemption.
Benchmark – JP Morgan Chase Asian Credit Investment Grade Index
Fund Manager – ING Investment Management Asia Pacific (Hongkong) Ltd.
Valuation – Marked-to Market

View Fund Performances

Metrofund Starter

Metrofund Peak Earner

Metrofund Elite

Metrofund Invest Plus

Metro Capital Growth Fund

MetroDollar Philippine Liquid Fund

MetroDollar Philippine Bond Fund

MetroDollar Asian Bond Fund

 

James Ryan Jonas teaches business management, investments, and entrepreneurship at the University of the Philippines (UP). He is also the Executive Director of UP Provident Fund Inc., managing and investing P3.2 Billion ($56.4 Million) worth of retirement funds on behalf of thousands of UP employees.