Odyssey Funds are actively-managed funds that represent BPI Asset Management and Trust Corporation's specialist or opportunistic strategies that express the fund manager's best ideas to derive higher total return consistent with clients' more aggressive risk profiles. The Odyssey Funds are best suited for the more aggressive investors, have preference for specific sectors, looking to create wealth and expand their asset bases.
Find out the best investment fund for you from a wide range of investment products that allow you to reap potentially higher returns than regular deposit accounts from the AMTC UITF Product Grid
(Refer to page 7-8).
BPI Asset Management and Trust Corporation offers the widest selection of collective investment schemes that pool the money of a large number of investors with the same investment objective, to purchase a portfolio of money market, bond and equity securities.
Access our investment funds through any of the BPI Branches nationwide or, via the Internet through BPI Online. As a BPI Investment Fund participant, you are not limited to your branch of account for your investment fund transactions. You can subscribe to or redeem from our investment funds in any branch, or even through BPI Online. You can also invest anytime as your orders for subscription or redemption may be received anytime within banking hours. Orders received after cutoff will automatically be booked the following banking day.
You may also enroll your fund in the Regular Subscription Plan
. The RSP is an investment program that allows you to nominate a regular subscription amount for purchase of units on a periodic basis, either on a monthly or quarterly basis. The RSP, together with the lower minimum initial investment and transaction amounts, enables investors to consistently build on their investments without the need to visit a BPI branch.
All funds/products managed by BPI Asset Management and Trust Corporation are Trust and/or Investment Management Funds. They are NOT DEPOSIT products, and are not insured by the Philippine Deposit Insurance Corporation (PDIC). Due to the nature of the investments, yield and potential yields cannot be guaranteed. Any income or loss arising from market fluctuations and price volatility of the securities held by the Fund, even if invested in government securities, is for the account of the investor. As such, units of participation/shares of the investor in the Fund, when redeemed, may be worth more or be worth less than his/her initial participation/contribution. Historical performance, when presented, is purely for reference purposes and is not a guarantee of future results. BPI Asset Management is not liable for losses, unless upon willful default, evident bad faith or gross negligence.