‧ The following -linked funds are offered under the investment-linked assurance scheme ("ILAS policy") issued by Sun Life Hong Kong Limited ("the Company"). Your will be subject to the credit risks of the Company. ‧ The premiums paid by you towards the ILAS policy will become part of the assets of the Company. You do not have any rights or ownership over any of those assets. Your recourse is against the Company only. ‧ Your return on investments is calculated or determined by the Company with reference to the performance of the underlying funds. ‧ The return of investments under your ILAS policy shall be subject to the charges of the scheme and may be lower than the return of the underlying funds. ‧ Investment involves risks and past performance is not indicative of future performance. Investment return may rise as well as fall. Currency movement and market condition may affect the value of investments. ‧ Emerging markets may involve a higher degree of risk than in developed markets and are usually more sensitive to price movements. Prices of the underlying funds may have higher volatility due to investment in emerging markets, financial derivatives instruments or structured instruments, and may involve a greater degree of risk than the conventional securities. ‧ You should not rely on this material alone. Please read the offering documents of ILAS policy carefully including Product Key Facts Statement and Principal Brochure. For more information about the underlying funds (including, without limitation, their investment objectives and policies, risk factors and charges), please refer to the offering documents of the underlying funds which are made available by the Company upon request. SunWish , Monthly Performance Summary of Investment-linked Funds as at Aug 31, 2021

3 3 Launch Date Cumulative Performance Calendar Year Performance Risk/ Fund 2 (DD/MM/YY) Unit Price Name of Investment-linked Fund Since Reward Code 1 (USD) 3 Months YTD 1 Year 3 Years 5 Years 2020 2019 2018 2017 2016 Launch Level^ Lifestyle Investment-Linked Fund Sun Life Conservative Lifestyle Portfolio4 S004 28/07/03 15.2684 -0.62% -1.30% 2.52% 13.80% 15.90% 52.68% 8.43% 9.12% -4.41% 7.99% 2.39% 1

Sun Life Stable Lifestyle Portfolio4 S005 28/07/03 17.4332 -0.48% 0.88% 6.34% 19.24% 25.23% 74.33% 10.84% 11.75% -6.38% 10.99% 2.62% 2

Sun Life Balanced Lifestyle Portfolio4 S008 28/07/03 20.7003 -0.27% 3.84% 11.49% 24.08% 35.76% 107.00% 11.81% 15.15% -8.92% 15.08% 2.82% 2

Sun Life Growth Lifestyle Portfolio4 S009 28/07/03 24.9369 -0.08% 6.85% 16.99% 30.88% 48.99% 149.37% 14.21% 18.87% -11.52% 19.30% 2.90% 2

Sun Life Active Lifestyle Portfolio4 S010 28/07/03 26.8853 0.03% 9.03% 21.29% 34.62% 57.76% 168.85% 15.07% 21.47% -13.45% 22.52% 2.98% 3 Global Bond Sun Life Global Bond Fund# L003 28/07/03 17.4661 0.50% -1.65% 0.01% 9.98% 10.10% 74.66% 5.51% 6.27% -0.87% 2.52% 3.75% 2

Sun Life Select Bond Portfolio4 S002 28/07/03 13.8157 -0.77% -3.40% -1.17% 9.31% 7.90% 38.16% 6.75% 6.60% -2.50% 5.08% 2.20% 1

Sun Life-Morgan Stanley IF Global Bond Fund K005 08/09/06 11.2635 -0.19% -3.18% 0.25% 11.94% 9.41% 12.64% 8.80% 7.11% -3.93% 7.97% 0.82% 2

Sun Life-BNP Paribas Funds Global Inflation-Linked Bond P006 06/04/17 11.5977 -0.31% -1.76% 1.69% 10.73% N/A 15.98% 15.47% 1.51% -9.25% 10.99%* N/A 2

Sun Life-PIMCO Global Real Return Fund# L002 19/08/08 14.7017 3.26% 2.34% 4.31% 16.80% 15.40% 47.02% 8.93% 6.55% -2.76% 2.03% 8.63% 2

Sun Life-Templeton Global Bond Fund C005 24/11/09 10.8582 -1.32% -3.45% -2.25% -5.16% -0.22% 8.58% -4.74% -0.02% 0.50% 1.15% 3.24% 2

Sun Life-Templeton Global Total Return Fund@ C008 24/11/09 11.7011 -1.50% -1.97% -0.90% -7.15% -3.32% 17.01% -7.43% -1.28% -1.60% 2.52% 4.82% 2

Sun Life-MFS Meridian Funds-Limited Maturity Fund J002 19/08/08 10.6235 -0.32% -0.71% -0.44% 4.90% 4.56% 6.23% 2.65% 2.99% -0.02% 1.21% 2.04% 2

Page 1 of 6 3 3 Launch Date Cumulative Performance Calendar Year Performance Risk/ Fund 2 (DD/MM/YY) Unit Price Name of Investment-linked Fund Since Reward Code 1 (USD) 3 Months YTD 1 Year 3 Years 5 Years 2020 2019 2018 2017 2016 Launch Level^ Money Market Sun Life-Barings USD Liquidity Fund N009 10/11/03 10.3733 -0.24% -0.66% -1.05% -0.12% -0.05% 3.73% -0.60% 0.82% 0.60% -0.34% -0.47% 1

Sun Life-Schroder US Dollar Money Fund M009 24/11/09 9.8786 -0.14% -0.36% -0.50% 1.97% 3.31% -1.21% 0.17% 1.60% 1.40% 0.45% -0.10% 1 Regional Bond Sun Life-BlackRock Global Funds-Asian Tiger Bond Fund R001 01/11/13 12.8402 -0.29% -1.64% 0.14% 13.54% 11.32% 28.40% 5.50% 10.06% -4.09% 5.57% 3.55% 2

Sun Life-First Sentier Asian Quality Bond Fund (Dist)6,7 B014 09/02/21 9.7686 1.79% -0.35% N/A N/A N/A -0.35% N/A N/A N/A N/A N/A 2

Sun Life-First Sentier Asia Strategic Bond Fund B010 18/11/04 14.4110 -1.55% -1.40% 0.16% 16.12% 12.62% 44.11% 5.79% 12.18% -3.41% 4.22% 2.61% 2

Sun Life-Templeton Asian Bond Fund C003 24/11/09 10.0533 -1.49% -3.50% -1.36% -1.94% -0.82% 0.53% -0.97% 0.03% -2.43% 4.42% 0.75% 2 HK Bond Sun Life-Principal Hong Kong Bond Fund Y002 06/04/17 10.4945 -0.26% -0.61% -0.33% 9.56% N/A 4.95% 5.96% 2.02% -0.32% -2.00%* N/A 1 US Bond Sun Life-MFS Meridian Funds-U.S. Government Bond Fund J011 24/11/09 10.9759 0.75% -1.92% -2.55% 7.85% 2.33% 9.76% 4.59% 4.40% -1.26% 0.48% -0.94% 1

Sun Life-PIMCO Total Return Bond Fund# L001 24/11/09 12.3734 1.05% -1.58% -0.97% 12.06% 9.43% 23.73% 6.98% 6.79% -2.92% 2.89% 1.10% 1 Emerging Markets Bond Sun Life-Fidelity Funds-Emerging Market Debt Fund A012 22/01/13 12.5575 2.79% 1.58% 6.59% 18.87% 17.29% 25.58% 5.72% 12.87% -6.50% 7.32% 7.79% 3

Sun Life-MFS Meridian Funds-Emerging Markets Debt Fund J001 24/11/09 15.7252 1.51% -0.65% 3.71% 17.78% 13.92% 57.25% 5.85% 12.06% -6.63% 7.71% 7.69% 2

Sun Life-BNP Paribas Funds Emerging Bond Opportunities P001 28/07/03 14.0903 -0.68% -2.97% 3.64% 11.29% 7.18% 40.90% 2.81% 10.76% -10.33% 14.11% 4.77% 3

Sun Life-Templeton Emerging Markets Bond Fund C004 24/11/09 11.0440 -1.20% -1.44% 0.57% -5.79% -5.14% 10.44% -7.48% -0.79% -6.33% 8.63% 8.70% 3 High Yield Bond Sun Life-AB FCP I-Global High Yield Portfolio D001 24/11/09 16.6283 1.52% 2.90% 9.36% 11.42% 17.40% 66.28% 0.83% 12.13% -6.41% 6.12% 12.59% 2

Sun Life-Fidelity Funds-US High Yield Fund A010 24/11/09 18.1918 2.19% 4.31% 8.63% 13.73% 24.75% 81.92% 2.20% 13.35% -4.87% 6.72% 12.17% 2 European Equities Sun Life-AB SICAV I-European Equity Portfolio D003 08/09/06 12.3790 -0.24% 13.74% 28.00% 13.41% 43.62% 23.79% 0.20% 19.01% -18.64% 28.14% -1.28% 3

Sun Life-Franklin Mutual European Fund C001 24/11/09 12.5406 0.24% 12.41% 27.95% 8.08% 22.66% 25.41% -5.35% 16.62% -17.70% 18.47% -4.76% 3

Sun Life-MFS Meridian Funds-European Research Fund J003 24/11/09 19.5419 1.63% 9.79% 19.46% 28.33% 52.77% 95.42% 7.35% 25.48% -14.77% 26.88% -6.12% 3

Sun Life-MFS Meridian Funds-European Value Fund J004 24/11/09 24.3148 3.14% 12.87% 23.76% 35.98% 64.26% 143.15% 11.98% 23.85% -11.13% 30.09% -5.39% 3 Global Equities Sun Life Select Equity Portfolio4 S003 28/07/03 29.8207 0.10% 11.41% 25.77% 38.68% 67.32% 198.21% 15.95% 24.12% -15.32% 25.80% 2.97% 3

Sun Life-AB FCP I-Global Value Portfolio D002 08/09/06 12.1804 1.37% 17.05% 32.04% 21.01% 43.70% 21.80% 2.92% 19.85% -18.04% 18.47% 5.36% 3

Sun Life-AB SICAV I-Sustainable Global Thematic Portfolio D004 23/02/05 24.4261 9.61% 17.10% 33.61% 73.14% 128.23% 144.26% 36.03% 26.64% -11.40% 33.42% -2.37% 3

Sun Life-Allianz Global Sustainability Fund E007 14/07/20 13.6631 10.17% 20.61% 26.29% N/A N/A 36.63% 13.29%* N/A N/A N/A N/A 3

Sun Life-Allianz Global Sustainability Fund (Dist)6,7 E009 09/02/21 11.6156 10.12% 19.12% N/A N/A N/A 19.12% N/A N/A N/A N/A N/A 3

Page 2 of 6 Launch Date Cumulative Performance3 Calendar Year Performance3 Risk/ Fund 2 (DD/MM/YY) Unit Price Name of Investment-linked Fund Since Reward Code 1 (USD) 3 Months YTD 1 Year 3 Years 5 Years 2020 2019 2018 2017 2016 Launch Level^ Global Equities Sun Life-Fidelity Funds-Global Dividend Fund A014 06/04/17 14.4067 1.84% 9.22% 17.86% 32.82% N/A 44.07% 6.43% 21.94% -5.69% 7.78%* N/A 3

Sun Life-Fidelity Funds-Global Thematic Opportunities Fund A004 24/11/09 23.6224 3.08% 15.10% 26.46% 31.21% 59.44% 136.22% 8.96% 20.76% -11.88% 17.74% 3.64% 3

Sun Life- Global Equity Income Fund U005 22/01/13 17.1384 0.96% 13.66% 30.56% 22.74% 46.21% 71.38% 2.78% 21.68% -15.83% 20.71% 0.19% 3

Sun Life-Ninety One GSF Global Franchise Fund H005 06/04/17 17.1384 5.68% 14.79% 19.87% 46.45% N/A 71.38% 13.77% 25.26% -5.40% 10.75%* N/A 3

Sun Life-MFS Meridian Funds-Global Concentrated Fund J008 24/11/09 29.4287 3.59% 16.27% 28.42% 47.40% 78.87% 194.29% 13.01% 28.23% -11.33% 24.11% 4.34% 3

Sun Life-MFS Meridian Funds-Global Equity Fund J005 24/11/09 27.4461 2.36% 14.03% 27.51% 42.04% 71.08% 174.46% 11.47% 27.44% -11.46% 21.08% 5.06% 3

Sun Life-MFS Meridian Funds-Global Research Focused Fund J010 24/11/09 22.9533 2.44% 13.21% 21.32% 38.88% 71.73% 129.53% 12.10% 27.39% -10.45% 21.81% 2.17% 3

Sun Life-Schroder ISF Global Climate Change Equity M004 24/11/09 27.4055 5.78% 11.43% 36.10% 75.02% 117.89% 174.06% 47.62% 22.38% -12.64% 27.47% 0.49% 3 Japan Equities Sun Life-Invesco Responsible Japanese Equity Value Discovery U001 24/06/11 13.2928 0.42% 3.40% 26.48% -1.84% 14.56% 32.93% -1.13% 9.15% -18.03% 20.69% 3.05% 3 Fund Sun Life-Invesco Responsible Japanese Equity Value Discovery U006 06/04/17 11.1951 0.84% 10.72% 32.23% -0.13% N/A 11.95% -7.30% 10.52% -18.19% 20.64%* N/A 3 Fund (USD Hedged) Mixed Assets Sun Life-Allianz Income and Growth Fund E005 06/04/17 15.5528 4.22% 8.52% 18.07% 38.24% N/A 55.53% 20.53% 18.20% -6.16% 7.20%* N/A 3

Sun Life-Allianz Income and Growth Fund (Dist)6,7 E008 09/02/21 9.9141 4.15% 3.27% N/A N/A N/A 3.27% N/A N/A N/A N/A N/A 3

Sun Life-Allianz Oriental Income Fund E002 14/06/05 40.3600 -0.39% 7.35% 28.05% 83.90% 117.12% 303.60% 45.59% 37.58% -20.22% 32.31% 1.05% 4

Sun Life-Barings Asia Balanced Fund N001 24/11/09 17.4121 -0.31% 1.51% 7.99% 15.85% 36.18% 74.12% 9.34% 17.04% -11.98% 21.28% -1.08% 3

Sun Life-First Sentier Asian Bridge Fund5 B012 14/07/20 11.5487 1.15% 2.33% 11.90% N/A N/A 15.49% 12.85%* N/A N/A N/A N/A 2

Sun Life-First Sentier Asian Bridge Fund (Dist)5,6,7 B013 09/02/21 9.6789 1.09% -1.27% N/A N/A N/A -1.27% N/A N/A N/A N/A N/A 2

Sun Life-Ninety One GSF Global Multi-Asset Income Fund H004 24/11/09 11.8516 -0.57% 0.59% 4.00% 8.70% 12.77% 18.52% 3.88% 5.03% -0.51% 4.74% 6.90% 2

Sun Life-Ninety One GSF Global Multi-Asset Income Fund (Dist)6,7 H006 09/02/21 9.8062 -0.45% 0.05% N/A N/A N/A 0.05% N/A N/A N/A N/A N/A 2

Sun Life-MFS Meridian Funds-Global Total Return Fund J009 24/11/09 17.3041 0.46% 6.61% 15.12% 22.67% 30.04% 73.04% 7.00% 15.77% -9.19% 12.59% 3.49% 2 US Equities Sun Life-Franklin U.S. Opportunities Fund C002 24/11/09 47.8733 14.99% 17.78% 26.49% 78.58% 160.67% 378.73% 40.94% 30.38% -2.81% 25.38% -3.38% 3

Sun Life-MFS Meridian Funds-U.S. Value Fund J013 24/11/09 26.6271 2.77% 18.06% 29.17% 31.53% 53.05% 166.27% 0.75% 25.90% -12.53% 14.25% 10.99% 3 Asian Equities Sun Life-Fidelity Funds-Asia Pacific Dividend Fund A002 24/11/09 21.2031 -0.16% 7.81% 24.46% 36.06% 61.40% 112.03% 20.24% 16.20% -12.93% 29.27% 3.89% 3

Sun Life-Invesco Pacific Equity Fund U002 24/06/11 17.8675 -5.72% 0.84% 19.78% 19.94% 52.03% 78.68% 15.61% 15.52% -16.41% 36.26% 5.35% 4

Sun Life-Templeton Asian Smaller Companies Fund C013 06/04/17 13.9088 0.23% 23.18% 48.67% 26.43% N/A 39.09% 10.92% 2.12% -13.08% 14.68%* N/A 4 Asian Equities (Excluding Japan) Sun Life-Fidelity Funds-ASEAN Fund A001 24/11/09 16.4833 0.36% 5.88% 20.29% 12.22% 21.44% 64.83% -0.96% 8.62% -8.09% 25.01% 3.75% 4

Sun Life-Fidelity Funds-Sustainable Asia Equity Fund A008 24/11/09 20.1244 -6.11% 0.85% 18.15% 38.64% 74.16% 101.24% 23.56% 22.54% -12.68% 39.89% 2.10% 4

Sun Life-Fidelity Funds-Asian Special Situations Fund A003 24/11/09 21.4048 -7.92% -1.27% 15.98% 26.57% 56.46% 114.05% 19.56% 19.29% -15.27% 39.69% 5.63% 4

Sun Life-FSSA Asia Opportunities Fund B001 28/01/08 23.0000 1.75% 8.76% 27.06% 29.58% 47.51% 130.00% 12.00% 13.81% -7.33% 22.25% 0.02% 4

Page 3 of 6 3 3 Launch Date Cumulative Performance Calendar Year Performance Risk/ Fund 2 (DD/MM/YY) Unit Price Name of Investment-linked Fund Since Reward Code 1 (USD) 3 Months YTD 1 Year 3 Years 5 Years 2020 2019 2018 2017 2016 Launch Level^ Asian Equities (Excluding Japan) Sun Life-FSSA Asian Equity Plus Fund B002 14/06/05 50.5865 1.08% 5.37% 24.71% 36.89% 75.41% 405.87% 19.34% 17.22% -6.34% 35.08% 0.91% 3

Sun Life-FSSA Asian Growth Fund B003 28/07/03 59.1866 1.98% 6.60% 25.65% 34.75% 53.96% 491.87% 16.31% 14.23% -5.45% 22.85% -2.13% 3

Sun Life-Invesco Asia Opportunities Equity Fund U003 24/06/11 11.1042 -11.74% -9.82% -4.26% 15.49% 22.36% 11.04% 28.43% 15.42% -20.14% 30.96% -4.12% 4

Sun Life-Ninety One GSF Asian Equity Fund H001 24/11/09 19.8256 -5.75% 1.91% 14.16% 20.08% 53.41% 98.26% 14.40% 18.48% -18.80% 45.80% 1.91% 4 Emerging Markets Equities Sun Life-Barings Eastern Europe Fund N003 14/06/05 16.4479 6.39% 14.88% 27.62% 34.88% 48.27% 64.48% -8.87% 29.73% -15.83% 19.36% 28.00% 4

Sun Life-Barings Global Emerging Markets Fund N004 24/11/09 12.7355 -4.55% -4.54% 7.49% 22.19% 49.08% 27.36% 13.78% 22.05% -17.68% 44.49% 1.91% 4

Sun Life-Barings Latin America Fund N008 28/01/08 6.5596 0.98% 4.47% 28.53% 15.36% 8.82% -34.40% -11.94% 16.59% -6.48% 15.34% 19.59% 4

Sun Life-Franklin Templeton IF-Franklin India Fund C010 04/02/12 20.7961 9.68% 22.75% 50.29% 35.16% 46.38% 107.96% 11.82% 6.20% -16.18% 36.28% 0.85% 5

Sun Life-Morgan Stanley IF Emerging Europe, Middle East, Africa K002 28/01/08 10.5771 7.47% 26.39% 44.90% 47.71% 55.77% 5.77% 1.71% 19.84% -19.90% 29.10% 6.12% 4 Equity Fund

Sun Life-BNP Paribas Funds Brazil Equity P005 02/04/12 6.0583 -4.49% -4.68% 15.94% 19.44% 9.08% -39.42% -18.13% 24.64% -6.01% 18.32% 58.00% 5

Sun Life-BNP Paribas Funds Russia Equity P004 02/04/12 14.0711 5.65% 16.91% 29.17% 45.11% 85.62% 40.71% -2.38% 33.81% -7.28% 7.62% 51.90% 4

Sun Life-BNP Paribas Funds Emerging Equity P003 28/07/03 21.2325 -8.19% -6.35% -4.10% 7.78% 24.75% 112.33% 10.27% 16.36% -18.47% 38.29% 7.53% 4

Sun Life-Schroder ISF BRIC M002 24/11/09 13.3514 -5.22% -2.42% 8.49% 31.79% 67.79% 33.51% 15.76% 25.02% -11.46% 39.95% 7.53% 4

Sun Life-Templeton Latin America Fund C009 24/11/09 6.8728 -4.81% -1.10% 21.78% 12.55% 11.83% -31.27% -10.13% 20.85% -8.76% 21.36% 22.42% 4 HK/China Equities Sun Life-Allianz China A-Shares Fund E006 14/07/20 12.2484 -8.92% -4.06% 16.66% N/A N/A 22.48% 27.67%* N/A N/A N/A N/A 4

Sun Life China Hong Kong Portfolio4 S001 08/09/06 37.7782 -8.95% -5.38% 8.80% 38.07% 81.93% 277.78% 34.36% 22.80% -17.31% 49.19% -3.34% 4

Sun Life-Barings Hong Kong China Fund N005 28/07/03 70.2134 -9.26% -9.43% 6.24% 53.51% 86.51% 602.13% 52.49% 24.38% -18.72% 45.45% -4.97% 4

Sun Life-Fidelity Funds-China Consumer Fund A013 06/04/17 14.0622 -18.63% -16.33% -7.47% 19.61% N/A 40.62% 32.84% 22.34% -21.54% 31.79%* N/A 4

Sun Life-FSSA China Growth Fund B004 10/11/03 97.7002 -8.36% -2.63% 11.64% 42.85% 98.62% 877.00% 30.36% 28.93% -18.25% 53.58% -4.14% 4

Sun Life-FSSA Greater China Growth Fund B005 24/11/09 28.9018 -5.49% 2.62% 18.60% 47.92% 100.92% 189.02% 27.99% 26.47% -14.80% 47.84% 0.84% 4

Sun Life-FSSA Hong Kong Growth Fund B008 18/11/04 51.4625 -7.61% 2.17% 12.91% 20.34% 64.28% 414.63% 11.30% 17.48% -8.61% 41.08% 2.42% 4

Sun Life-Principal Hong Kong Equity Fund Y001 06/04/17 12.6647 -9.39% -4.67% 4.02% 12.31% N/A 26.65% 15.82% 11.21% -15.21% 21.66%* N/A 4

Sun Life-Schroder ISF China Opportunities M003 24/11/09 18.8712 -12.33% -7.12% 4.22% 36.07% 71.98% 88.71% 40.23% 17.41% -16.11% 41.61% 1.56% 4

Sun Life-Schroder ISF Greater China M005 24/11/09 24.0969 -9.09% -1.70% 12.90% 52.46% 102.00% 140.97% 40.49% 23.00% -13.06% 43.17% 4.81% 4

Sun Life-Schroder ISF Hong Kong Equity M008 28/08/07 20.0775 -10.42% -4.88% 7.21% 15.33% 57.25% 100.78% 19.88% 14.13% -15.06% 48.41% -0.09% 4

Page 4 of 6 3 3 Launch Date Cumulative Performance Calendar Year Performance Risk/ Fund 2 (DD/MM/YY) Unit Price Name of Investment-linked Fund Since Reward Code 1 (USD) 3 Months YTD 1 Year 3 Years 5 Years 2020 2019 2018 2017 2016 Launch Level^ Asian Single Countries Equities Sun Life-Allianz Korea Equity Fund E001 08/09/06 11.8264 -5.57% 4.00% 38.22% 22.89% 22.67% 18.26% 31.88% -1.56% -22.12% 30.11% -6.37% 5

Sun Life-Barings Australia Fund N002 28/07/03 32.9162 -0.80% 9.30% 23.93% 22.23% 40.18% 229.16% 11.69% 16.59% -11.55% 18.22% -5.03% 4

Sun Life-Fidelity Funds-Singapore Fund A005 24/11/09 14.8854 -2.32% 7.52% 21.26% 10.86% 25.46% 48.85% -3.81% 11.61% -9.46% 26.72% -0.26% 4

Sun Life-Fidelity Funds-Taiwan Fund A009 24/11/09 26.8666 4.31% 19.68% 41.65% 74.55% 112.89% 168.67% 29.06% 28.19% -11.26% 24.44% 12.24% 4

Sun Life-FSSA Indian Subcontinent Fund B009 14/06/05 81.6635 9.95% 22.47% 45.24% 27.13% 59.39% 716.64% 7.63% 2.45% -8.78% 38.20% 0.55% 4

Sun Life-Schroder ISF Taiwanese Equity M010 24/04/08 27.3460 0.11% 20.48% 40.66% 72.04% 108.43% 173.46% 26.78% 27.60% -12.62% 24.43% 11.73% 4 Equities - Sector Sun Life-Allianz Food Security Fund E004 22/01/13 10.1762 -4.56% 7.85% 18.70% 2.10% 3.91% 1.76% 1.90% 11.81% -22.71% 17.85% -5.31% 4

Sun Life-BlackRock Global Funds-Sustainable Energy Fund R004 06/04/17 21.2265 7.90% 13.87% 40.20% 90.39% N/A 112.27% 48.29% 28.54% -14.78% 14.76%* N/A 4

Sun Life-BlackRock Global Funds-World Financials Fund R005 06/04/17 17.2920 0.72% 19.50% 52.22% 42.11% N/A 72.92% 7.96% 30.79% -16.10% 22.16%* N/A 4

Sun Life-BlackRock Global Funds-World HealthScience Fund R002 01/11/13 23.3428 5.76% 11.84% 17.00% 43.98% 82.00% 133.43% 12.74% 22.86% 3.90% 20.36% -8.89% 3

Sun Life-BlackRock Global Funds-World Mining Fund R003 01/11/13 12.0509 -8.46% 13.38% 33.30% 68.99% 102.03% 20.51% 31.72% 18.24% -17.77% 29.12% 49.92% 4

Sun Life-Franklin Biotechnology Discovery Fund C012 06/04/17 13.7587 5.08% -5.43% 6.63% 19.65% N/A 37.59% 25.62% 31.78% -16.89% 5.74%* N/A 5

Sun Life-Franklin Templeton IF-Franklin Technology Fund C011 22/01/13 55.4506 14.90% 21.31% 34.43% 118.58% 260.94% 454.51% 58.95% 36.20% 0.40% 38.16% 5.84% 4

Sun Life-Ninety One GSF Global Energy Fund H002 24/11/09 6.0997 -0.04% 13.93% 33.11% -5.92% -3.41% -39.00% -10.23% 12.14% -19.02% -6.30% 20.59% 4

Sun Life-Ninety One GSF Global Gold Fund H003 24/11/09 8.0952 -16.37% -13.96% -26.46% 68.13% 23.36% -19.05% 24.38% 36.45% -6.76% 10.40% 46.13% 5

Sun Life-Morgan Stanley IF Asian Property Fund K001 14/06/05 17.7644 -3.93% 3.24% 9.47% 2.33% 8.61% 77.64% -9.16% 11.91% -3.27% 13.35% 1.54% 4

Sun Life-BNP Paribas Funds Energy Transition P002 14/06/05 19.5042 -0.96% -6.70% 55.30% 98.27% 121.06% 95.04% 183.98% 1.51% -23.73% -2.94% 28.95% 4 * Performance of the investment-linked fund is calculated since its launch date to the end of calendar year. ^ The risk/reward level is determined by Sun Life Hong Kong Limited, based on a number of factors relating to the underlying funds of investment-linked funds, including the asset type, the geography of investment, portfolio characteristics and investment strategy. The risk/reward level is subject to regularly review once every two years. Nevertheless, when there is significant change(s) in the determining factor(s) of the risk/reward level, the Company will promptly conduct a review for individual investment-linked fund(s). The risk/reward level may be revised as a result of a review. The risk/reward level ranges from 1 to 5 (low to high risk level) and is for general reference only. If you are in doubt, please seek professional advice. # The underlying fund of the corresponding Investment-linked Fund is classified as derivative fund. The underlying fund’s net derivative exposure may be more than 100% of the underlying fund’s , thus it is subject to higher volatility as well as higher risks. You should exercise caution in relation to this Investment-linked Fund. This Investment-linked Fund is only suitable for the clients who understand complicated structure of derivative product and associated risks, and you may incur significant loss of principal if investing in this Investment-linked Fund. Kindly complete “Risk Profile Questionnaire form” for the application of Investment-linked Fund switching and/or contribution allocation. @ The underlying fund of the corresponding Investment-linked Fund is classified as derivative fund. The underlying fund’s net derivative exposure may be more than 50% but up to 100% of the underlying fund’s net asset value, thus it is subject to higher volatility as well as higher risks. You should exercise caution in relation to this Investment-linked Fund. This Investment-linked Fund is only suitable for the clients who understand complicated structure of derivative product and associated risks, and you may incur significant loss of principal if investing in this Investment-linked Fund. Kindly complete “Risk Profile Questionnaire form” for the application of Investment-linked Fund switching and/or contribution allocation.

1 It refers to the launch date of the respective investment-linked funds. 2 Unit price above refers to bid/offer price. For more details, please refer to your Policy Document. 3 The performance of investment-linked funds is calculated on a bid to bid basis, in USD with any dividend/interest reinvested. For the investment-linked fund denoted by their names ended with “(Dist)”, the performance figures shown in this performance summary assume that all dividend payouts, if any, are being reinvested in the Investment-Linked Fund (Dist). Your actual return may therefore be lower or higher than the performance of such Investment-Linked Fund (Dist) as shown in this performance summary. 4 If you hold unit(s) of Sun Life Conservative Lifestyle Portfolio, Sun Life Stable Lifestyle Portfolio, Sun Life Balanced Lifestyle Portfolio, Sun Life Growth Lifestyle Portfolio, Sun Life Active Lifestyle Portfolio, Sun Life Select Bond Portfolio, Sun Life Select Equity Portfolio or Sun Life China Hong Kong Portfolio on and after 5 February 2016, you can continue to subscribe and/or switch-in to the respective investment-linked fund(s). Otherwise, the mentioned investment-linked fund(s) has been closed for subscription and switch-in since 5 February 2016.

Page 5 of 6 5 Sun Life-First Sentier Asian Bridge Fund and Sun Life-First Sentier Asian Bridge Fund (Dist) are linked to the same share class of corresponding underlying fund. Due to the difference on the distribution policy (reinvestment vs distribution), the unit price and the performance of these two investment-linked funds will be different. Please note that the distribution of dividend of the underlying fund will result in an immediate decrease in the net asset value per unit of the underlying fund after the dividend record date of the underlying fund, which may result in an immediate reduction of the unit price of Sun Life-First Sentier Asian Bridge Fund (Dist); while the unit price of Sun Life-First Sentier Asian Bridge Fund may increase due to the dividend reinvestment. 6 An underlying fund may pay cash dividend effective out of capital (i.e. paying dividends out of gross income while charging / paying all or part of the underlying fund’s fees and expenses to / out of the capital of the underlying fund, resulting in an increase in distributable income for payment of cash dividends) at its discretion. Such payments of cash dividend will result in an immediate decrease in the net asset value per unit of the underlying fund after the dividend record date of the underlying fund, and may result in an immediate reduction of the unit price of the Investment-Linked Fund (Dist). 7 Investment-Linked Fund (Dist) pay out cash dividend and hence, may reduce the account value of the ILAS policy and it may (i) lead to the reduction of loyalty bonus, (ii) reduce the death benefit payable, and (iii) lead to the policy termination when the account value is insufficient to cover the relevant policy charges. Source of investment-linked fund information: Sun Life Hong Kong Limited Sun Life Hong Kong Limited (Incorporated in Bermuda with limited liability) Client Service Centre G/F, Cheung Kei Center Tower B, No. 18 Hung Luen Road, Hunghom, Kowloon Customer Service Hotline: 2103 8928 Fax: 2103 8938 www.sunlife.com.hk A member of the group of companies. Head Office in Toronto, Canada Issued by Sun Life Hong Kong Limited

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