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BlackRock World Gold Fund (USD) A2

 
JPMorgan Japan Equity Fund (USD)

Name
Performance
Last NAV 55.05 27.73
Date of Valuation 2025/04/30 2025/04/30
Sharpe Ratio -0.09 -0.03
3-Year Risk Return Ratio 0.54 0.63
Cumulative Performance (%)
  • 1-Month
+8.95% +6.04%
  • 3-Month
+29.80% +5.40%
  • 6-Month
+22.17% +12.59%
  • YTD
+42.17% +7.36%
  • 1-Year
+6.46% +15.00%
  • 3-Year
-10.59% -3.60%
  • 5-Year
+34.55% +28.20%
  • Since Launch
N/A +177.30%
Calendar Year Performance (%)
  • 2023
+6.46% +15.00%
  • 2022
-17.00% -34.50%
  • 2021
-10.59% -3.60%
  • 2020
+28.38% +41.50%
  • 2019
+34.55% +28.20%
3-Year Annualised Volatility 26.38% 16.71%
Funds Characteristics
Funds House BlackRock Asset Management North Asia Limited J.P. Morgan Asset Management
Portfolio Manager Evy Hambro & Tom Holl Nicholas Weindling & Miyako Urabe & Shoichi Mizusawa
Funds Type Equity Funds Equity Funds
Funds Size USD 4468870000 USD 2550200000
Base Currency USD USD
Sector Gold & Precious Metals General
Geographic Allocation Global Japan
Portfolio content
Top Holdings
  • 01
AGNICO EAGLE MINES LTD (ONTARIO) (8.32%) Seven & I (3.80%)
  • 02
BARRICK GOLD CORP (8.19%) Tokio Marine (4.80%)
  • 03
NEWMONT CORPORATION (6.86%) Keyence (5.20%)
  • 04
KINROSS GOLD CORP (6.17%) Asics (5.50%)
  • 05
NORTHERN STAR RESOURCES LTD (4.99%) ITOCHU (5.20%)
  • 06
ALAMOS GOLD INC (PRE-REINCORPORATION) (4.76%) Shin-Etsu Chemical (3.80%)
  • 07
SPROTT PHYSICAL SILVER TRUST (4.13%) Secom (3.10%)
  • 08
WHEATON PRECIOUS METALS CORP (4.06%) Advantest (4.30%)
  • 09
LUNDIN GOLD INC (3.86%) Hoya (4.10%)
  • 10
ENDEAVOUR MINING PLC (5.43%) Hitachi (7.80%)
Investments and Fees
Minimum Initial Investment N/A USD 1000
Initial Sales Fee Class A Shares: up to 5% of the price of shares.Class C Shares: Nil Currently 5.0% (up to 8.5% of NAV)
Switching Fee 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. 1.0% of NAV
Maintenance Fee Custodian Fees Safekeeping fees: 0.005% to 0.441%.Custodian Fees Transactional fees: US$8.8 to US$196 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%. Operating and administrative expenses (including Custodian fee):0.4% of NAV p.a.
Redemption Fee Nil.(A 2% charge on redemptions/conversions may be levied where excessive trading by a shareholder is suspected.) Currently 0% (up to 1.0% of NAV)
Date and others
Launch Date 1994/12/30 2002/04/02
End of Financial Year 31/08 30/06
Country of Registry Luxembourg Luxembourg
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