Sun Life Asset Management (Hong Kong) Limited

Sun Life Asset Management (HK) Limited is a wholly-owned subsidiary of Sun Life Hong Kong Limited.  It has introduced the multi-manager investment approach for MPF scheme, received many awards over the years, and continuously develops innovative products.

March 2026

Navigating Market Volatility Through Multi-Asset Allocation

March 2, 2026

美國、以色列出兵伊朗

February 2026

Low-carbon strategy: A defensive tool for highly volatile markets in 2026

January 2026

3 Main Investment Themes in 2026

December 2025

2026 Asset Allocation Strategy

November 2025

Mitigating Short-Term Risks While Capturing AI Opportunities

October 2025

Diversification Remains Important As Tariff Concerns Resurface

October 31, 2025

美國減息及「習特會」

October 13, 2025

中美貿易緊張局勢升級

September 2025

美國9月重啟減息

September 2025

Income Strategy Offers Defensiveness

August 2025

Long-Term Strategic Allocation to Technology Sector

August 2025

減息憧憬升溫 中港美股分途展望

July 2025

Core-Satellite Portfolio Strategy for Enhanced Potential Returns

Q3 2025

退休投資策略

July 2025

中場休息 重新調整

July 2025

核心-衛星組合爭取較佳潛在回報

July 2025

《大而美法案》或再次牽起信心危機 

July 2025

內地「情感消費」興起

July 2025

以衛星策略捕捉亞洲機遇 

July 2025

美國長債吸引力降溫 企業與亞洲債成新焦點

June 2025

Adopting Flexible Strategies in Uncertain Market

June 2025

財政狀況和經濟數據 料主導美股

June 2025

下半年環球市場前瞻 

June 2025

五不窮,六可期? 

June 2025

亞股下半年可望突圍

June 2025

外圍風險增 投資宜審慎

June 2025

貿易戰陰霾漸散,美股是否仍具吸引力? 

May 2025

Uncertain outlook warrants a prudent approach

May 2025

管理「大小水桶」 靈活資產配置

May 2025

關稅角力對準退休投資者影響大 

May 2025

管理經濟下滑的投資風險

May 2025

貿易摩擦升級 留意經濟變化

May 2025

美國國庫債券再現拋售潮

May 2025

美國評級下降對資產配置的啟示

April 2025

Diversification Strategy Mitigates Tariff Risks

April 2025

控制風險: 本金保護和控制波幅

April 2025

退休前傾斜優質資產

April 2025

美國解放 全球震盪

April 2025

60:40策略應對衰退風險

April 2025

債券仍具分散風險功能

April 2025

對等關稅下的市場展望

Q2 2025

Recent market volatility caused by U.S. tariffs

Q1 2025

Strategies to Harness 2025 Risks

March 2025

另類投資對抗市況波動

March 2025

退休收息宜重分散

March 2025

多元化策略緩解關稅風險

March 2025

利用REITs分散收息來源

March 2025

構建穩健多元組合 應對巿場的危與機

March 2025

多元投資應對環球新格局

February 2025

退而無憂4%夠晒數

February 2025

正月效應或受貿易紛爭影響

February 2025

房地產信託助控組合風險

February 2025

高息期持續入息策略可取

February 2025

AI 資金流向與投資啟示

February 2025

如何應對貿易戰 2.0? 

Q1 2025

市場觀點解讀 – 美國股票、中港股票、低碳策略、環球債券、退休投資策略

January 2025

蛇年福至有升有息

January 2025

2025 年分散投資 應對政策不確定性

January 2025

定息策略沖對投資巿場的不確定性

January 2025

低碳投資受惠AI發展

January 2025

春節效應難期

January 2025

退休部署如何做到「財源廣進」

Q4 2024

Diversify Portfolios as Policy Risks Heighten

Q4 2024

市場觀點解讀 – 中港股票、日本股票、美國股票、環球債券及港元債券、低碳策略

Q3 2024

市場觀點解讀 – 美國減息、環球債券、AI投資主題、資產配置、中港股票

December 2025

Poilcy Risk and betterment

Q2 2024

市場觀點解讀 – 多元經理、中港股票、資產配置、美國股票、低碳策略、環球債券

March 2026

Navigating Market Volatility Through Multi-Asset Allocation

February 2026

Low-carbon strategy: A defensive tool for highly volatile markets in 2026

January 2026

3 Main Investment Themes in 2026

December 2025

2026 Asset Allocation Strategy

November 2025

Mitigating Short-Term Risks While Capturing AI Opportunities

October 2025

Diversification Remains Important As Tariff Concerns Resurface

September 2025

Income Strategy Offers Defensiveness

August 2025

Long-Term Strategic Allocation to Technology Sector

July 2025

Core-Satellite Portfolio Strategy for Enhanced Potential Returns

June 2025

Adopting Flexible Strategies in Uncertain Market

May 2025

Uncertain outlook warrants a prudent approach

April 2025

Diversification Strategy Mitigates Tariff Risks

Q1 2025

Strategies to Harness 2025 Risks

Q4 2024

Diversify Portfolios as Policy Risks Heighten

March 2, 2026

美國、以色列出兵伊朗

October 31, 2025

美國減息及「習特會」

October 13, 2025

中美貿易緊張局勢升級

September 2025

美國9月重啟減息

Q3 2025

退休投資策略

August 2025

減息憧憬升溫 中港美股分途展望

July 2025

中場休息 重新調整

July 2025

核心-衛星組合爭取較佳潛在回報

July 2025

《大而美法案》或再次牽起信心危機 

July 2025

內地「情感消費」興起

July 2025

以衛星策略捕捉亞洲機遇 

July 2025

美國長債吸引力降溫 企業與亞洲債成新焦點

June 2025

財政狀況和經濟數據 料主導美股

June 2025

下半年環球市場前瞻 

June 2025

五不窮,六可期? 

June 2025

亞股下半年可望突圍

June 2025

外圍風險增 投資宜審慎

June 2025

貿易戰陰霾漸散,美股是否仍具吸引力? 

May 2025

管理「大小水桶」 靈活資產配置

May 2025

關稅角力對準退休投資者影響大 

May 2025

貿易摩擦升級 留意經濟變化

May 2025

管理經濟下滑的投資風險

May 2025

美國國庫債券再現拋售潮

May 2025

美國評級下降對資產配置的啟示

April 2025

控制風險: 本金保護和控制波幅

April 2025

退休前傾斜優質資產

April 2025

美國解放 全球震盪

April 2025

60:40策略應對衰退風險

April 2025

債券仍具分散風險功能

April 2025

對等關稅下的市場展望

Q2 2025

Recent market volatility caused by U.S. tariffs

March 2025

另類投資對抗市況波動

March 2025

退休收息宜重分散

March 2025

多元化策略緩解關稅風險

March 2025

利用REITs分散收息來源

March 2025

構建穩健多元組合 應對巿場的危與機

March 2025

多元投資應對環球新格局

February 2025

退而無憂4%夠晒數

February 2025

正月效應或受貿易紛爭影響

February 2025

房地產信託助控組合風險

February 2025

高息期持續入息策略可取

February 2025

AI 資金流向與投資啟示

February 2025

如何應對貿易戰 2.0? 

January 2025

蛇年福至有升有息

January 2025

2025 年分散投資 應對政策不確定性

January 2025

定息策略沖對投資巿場的不確定性

January 2025

低碳投資受惠AI發展

January 2025

春節效應難期

January 2025

退休部署如何做到「財源廣進」

Q1 2025

市場觀點解讀 – 美國股票、中港股票、低碳策略、環球債券、退休投資策略

Q4 2024

市場觀點解讀 – 中港股票、日本股票、美國股票、環球債券及港元債券、低碳策略

Q3 2024

市場觀點解讀 – 美國減息、環球債券、AI投資主題、資產配置、中港股票

Q2 2024

市場觀點解讀 – 多元經理、中港股票、資產配置、美國股票、低碳策略、環球債券