保證基金
fund custody
指內在結構規定在未來某個特定日期會給予強積金計劃成員或匯集投資基金持有人一個回報額的成分基金或匯集投資基金。
Refers to the internal structure of the provisions of a particular date in the future will give MPF scheme members or pooled investment fund holders a return on the amount of constituent fund or pooled investment fund.