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Risk Considerations

  1. The Fund is actively managed and invests mainly in a diversified portfolio of shares of companies in Asia.
  2. Investment in the Fund involves risks, including general investment risk, equity market risk, exclusion criteria risk, risks associated with depositary receipts, geographic concentration risk, small and mid-capitalisation shares risk, emerging markets risk, risk associated with high volatility of equity markets in emerging countries, risk associated with regulatory/exchanges requirements of the equity markets in emerging countries, currency risk and stock connect risk which may result in loss of a part or the entire amount of your investment.  
  3. The Fund may use derivatives for hedging and efficient portfolio management and is subject to derivatives risk. Exposure to derivatives may lead to a risk ofsignificant loss by the Fund.
  4. The value of the Fund can be volatile and could go down substantially.
  5. Investors should not invest in the Fund solely based on this website.

 

Investment involves risk. Past performance is not a reliable indicator of current or future results and should not be the sole factor of consideration when selecting a product or strategy.

SICAV
Asian Opportunities Equity Fund
Seeks to increase the value of its shares, over the long term, through growth in the value of its investments.
ISIN LU1044871579
Bloomberg TRAOAEA LX
FACTSHEET
Key Fact Statement
SFDR DISCLOSURE
No data available
30-Nov-2023 - Jihong Min, Portfolio Manager,
We have a constructive outlook for Asia ex-Japan equities, with diverse tailwinds underpinning our view. In China, we think the government is focused on stabilising the economy. We see India realising its long-term growth potential following a period of subpar performance. Our goal is to identify high-quality companies that can compound earnings across different market environments.

Strategy
Fund Summary
Actively managed and invests mainly in a diversified portfolio of shares of companies in Asia.
No data available

Performance (Class A)

Past performance is not a reliable indicator of future performance.

Current Year Performance

Annualised Performance

30-Nov-2023 - Jihong Min, Portfolio Manager,
Consumer discretionary remained one of our largest absolute sector allocations in November, even as we reduced our exposure. We sold shares of a fast-food restaurant operator in China amid intensifying competition in a weak consumption environment, although we still regard it as a high-quality company. Information technology was also a major absolute position and we added to our holdings, including a semiconductor packaging and testing company. We think it was reasonably valued, while offering exposure to the smartphone market’s cyclical recovery and the longer-term growth of artificial intelligence applications.

Team

No data available

Fees

No data available

Risks

The following risks are materially relevant to the fund. Please click here to view the definitions of the risks listed below.

  • Country risk – China
  • Currency
  • Emerging markets
  • Equities
  • ESG
  • Geographic concentration
  • Investment fund
  • Issuer concentration
  • Management
  • Market
  • Operational
  • Small/mid cap
  • Stock Connect

Typical Investor

Investors who plan to invest for the medium to long term, and who:

• are interested in investment growth
• are looking to diversify their equity investments, in particular existing investments in developed markets
• understand and can accept the risks of the fund, including the risks of investing in emerging markets

Disclosure on Vendor Indices can be found here.