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Data  



    
 
JPMorgan Thailand Fund (USD)

 
BlackRock Japan Small & MidCap Opportunities Fund (JPY) A2

Name
Performance
Last NAV 172.31 13,533.00
Date of Valuation 2025/08/07 2025/08/07
Sharpe Ratio 1.50 0.37
3-Year Risk Return Ratio 0.02 1.52
Cumulative Performance (%)
  • 1-Month
+13.49% +10.79%
  • 3-Month
+5.22% +18.71%
  • 6-Month
+5.56% +19.59%
  • YTD
+0.13% +15.27%
  • 1-Year
-12.30% +17.76%
  • 3-Year
+0.60% +12.71%
  • 5-Year
+9.80% +24.94%
  • Since Launch
N/A N/A
Calendar Year Performance (%)
  • 2023
-12.30% +17.76%
  • 2022
+6.60% -10.41%
  • 2021
+0.60% +12.71%
  • 2020
-8.40% +2.52%
  • 2019
+9.80% +24.94%
3-Year Annualised Volatility 18.48% 12.00%
Funds Characteristics
Funds House J.P. Morgan Asset Management BlackRock Asset Management North Asia Limited
Portfolio Manager Chate Benchavitvilai & Desmond Loh & Pauline Ng Hiroki Takayama
Funds Type Equity Funds Equity Funds
Funds Size USD 219200000 USD 331227130
Base Currency USD JPY
Sector General Small to Medium Companies
Geographic Allocation Thailand Japan
Portfolio content
Top Holdings
  • 01
CP All (10.10%) FUKUOKA FINANCIAL GROUP INC (1.84%)
  • 02
Bangkok Dusit Medical (8.80%) KONOIKE TRANSPORT CO LTD (1.74%)
  • 03
Airports of Thailand (5.50%) HASEKO CORPORATION (1.71%)
  • 04
Delta Electronics (8.60%) YAMAZAKI BAKING CO LTD (1.69%)
  • 05
PTT Exploration & Prod (6.10%) 77 BANK LTD/THE (1.68%)
  • 06
Bumrungrad Hospital (4.70%) MITSUBISHI LOGISTICS CORPORATION (1.65%)
  • 07
PTT Public (6.80%) KINDEN CORPORATION (1.64%)
  • 08
Advanced Info Service (8.40%) JAPAN METROPOLITAN FUND INVESTMENT CORP (1.60%)
  • 09
Central Pattana (4.00%) SUNDRUG CO LTD (1.55%)
  • 10
Gulf Ener Devl (3.60%) GUNZE LTD (1.54%)
Investments and Fees
Minimum Initial Investment USD 1000 N/A
Initial Sales Fee 5.0% of NAV Class A Shares: up to 5% of the price of shares.Class C Shares: Nil
Switching Fee 1.0% of NAV Nil(A 2% charge on redemptions/conversions may be levied where excessive trading by a shareholder is suspected.), except a delayed Initial Charge of up to 5% of the price of Class A Shares may be payable upon switching newly acquired Shares in a Reserve Fund into this Fund.
Maintenance Fee Trustee fee:0.1% of NAV p.a. (maximum 0.2%; subject to the NAV and a minimum of USD 10,000 p.a.) Custodian Fees Safekeeping fees: 0.0024% to 0.45%.Custodian Fees Transactional fees: US$5.5 to US$124 per transaction.Performance Fee : Nil.Administration Fee : Up to 0.25%(May be increased to a combined 2.25% maximum upon giving three months’ prior notice to shareholders.).Distribution Fee Class A Shares: Nil.Distribution Fee Class C Shares: 1.25%.
Redemption Fee 0.5% of NAV Nil.(A 2% charge on redemptions/conversions may be levied where excessive trading by a shareholder is suspected.)
Date and others
Launch Date 1989/08/08 1987/05/13
End of Financial Year 30/09 31/08
Country of Registry Hong Kong Luxembourg
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