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First Sentier Asian Bridge Fund (USD)
Last NAV
USD
 
12.50
(Last Update : 2024/11/14)
1-Month return
 
-2.72%
Fund House First Sentier Investors (Hong Kong) Limited
Fund Type Balanced Funds
Fund Size
 
189.50M
Sector General
Geographic Allocation Asia (ex Japan)
 
Fund Investment Objective & Strategy
The Fund aims to provide medium term capital stability, a regular income stream and the potential for capital growth over the medium to long term through investing primarily in a balanced portfolio consisting of equity or equity-related investments and fixed income debt securities issued by governments, supra-national entities, corporate or other issuers in the Asian (including Australia and New Zealand but excluding Japan) debt and securities markets.
 
 
Key Risks
Investment Risk:Investment in shares involves risk. The value of shares in the Fund may rise or fall and you may not get back the fullamount you invested. Past performance of the Fund is not a guide to future performance. Market Risk:Certain situations may have a negative effect on the price of shares within a particular market. These may includeregulatory changes, political changes, economic changes, technological changes and changes in the social environment. Emerging Market Risk:Investing in shares in emerging markets (countries considered to have social or business activity in the processof rapid growth and development) may involve a greater risk than investing in shares in developed markets. These risks may includesharp price movements, liquidity risk and currency risk. Liquidity Risk:The Fund may not be able to buy or sell its assets in a timely manner and/or at a reasonable price as not all the fixedincome securities the Fund invests in are listed or rated on an exchange, as a result liquidity may be low. Credit Risk:Investing in debt or other fixed income securities may expose the Fund to credit risk if the issuers of those securities fail tomeet their financial obligations, defaults or suffers insolvency. This would cause the value of the Fund to be affected negatively. Interest Rate Risk:Investing in fixed income securities will expose the Fund to movements in interest rates. If rates go up, the value ofsecurities fall and if rates go down, the value of securities rise. Currency Risk:The Fund may buy shares in various currencies. The value of shares in the Fund may be impacted due to changes in theexchange rates.
 
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