| Name | | |
| Last NAV | 69.84 | 184.98 |
| Date of Valuation | 2026/06/12 | 2026/06/12 |
| Sharpe Ratio | 0.80 | 0.51 |
| 3-Year Risk Return Ratio | 2.07 | 1.61 |
| Cumulative Performance (%) |
| +14.04% | +12.03% |
| +53.46% | +45.24% |
| +109.35% | +54.89% |
| +99.37% | +51.23% |
| +12.37% | +14.40% |
| -0.61% | -12.20% |
| -3.30% | +38.00% |
| N/A | +1,749.80% |
| Calendar Year Performance (%) |
| +12.37% | +14.40% |
| -32.88% | -38.90% |
| -0.61% | -12.20% |
| +47.00% | +82.00% |
| -3.30% | +38.00% |
| 3-Year Annualised Volatility | 22.15% | 19.71% |
| Funds House | Baring Asset Management (Asia) Limited | J.P. Morgan Asset Management |
| Portfolio Manager | SooHai Lim & Eunice Hong | Oliver Cox & Joanna Kwok (Hong Kong) |
| Funds Type | Equity Funds | Equity Funds |
| Funds Size | USD 32000000 | USD 746700000 |
| Base Currency | USD | USD |
| Sector | General | Technology |
| Geographic Allocation | Korea | Pacific(including Japan) |
| Top Holdings |
| SK hynix (8.42%) | Taiwan Semiconductor Manufacturing (7.10%) |
| Samsung Electronics (7.31%) | SK hynix (3.50%) |
| Hyundai Motor (5.99%) | Sea (3.60%) |
| KB Financial Group (5.26%) | Hon Hai Precision (3.30%) |
| Kia Corp. (3.47%) | BYD (3.10%) |
| LG CHEM LTD (3.57%) | Tencent Holdings (3.90%) |
| SAMSUNG FIRE AND MARINE INSURANCE CO LTD (3.01%) | Advantest (3.30%) |
| SAMSUNG BIOLOGICS (3.92%) | TDK (3.20%) |
| Shinhan Financial Group (4.33%) | Tata Consultancy Services (3.10%) |
| LG ENERGY SOLUTION LTD (3.47%) | Delta Electronics (3.80%) |
| Minimum Initial Investment | USD 1000 | USD 1000 |
| Initial Sales Fee | Up to 5% of the net asset value per unit. | 5.0% of NAV |
| Switching Fee | Not applicable | 1.0% of NAV |
| Maintenance Fee | Custodian fee (Trustee fee):0.025%, subject to monthly minimum fee of £6000.Administration fee:0.275%, subject to monthly minimum fee of £12000.Transaction charge:£50 per security transaction | Trustee fee:0.03%–0.125% of NAV p.a. (maximum 0.2%; subject to the NAV and a minimum of USD 12,500 p.a.) |
| Redemption Fee | Nil | 0.5% of NAV |
| Launch Date | 1992/11/04 | 1997/08/15 |
| End of Financial Year | 30/04 | 30/09 |
| Country of Registry | Ireland | Hong Kong |
| Other Relevant Information | | |
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