• Targeting the growth potential of Asian markets.
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Key facts

  • Fund aim

    The fund aims to achieve long-term capital growth through investment in an actively managed portfolio, primarily invested in equity and equity-related securities of companies in the Asian region with the potential for capital appreciation and a growing stream of dividends.

  • Fund information

    Fund currency  USD
    Launch date  28/11/2013
    ISIN code IE00B2R8GQ87
    Sedol code B2R8GQ8
  • Share ClassMinimum InvestmentInitial ChargeOngoing ChargeISINKiid
    B USD Acc 1,000,000 0.50%1.25%IE00B2R8GQ87English
  • Past performance is not a guide to future performance. Values may fall as well as rise and investors may not get back the full amount invested. Income from investments may fluctuate. Income payments may constitute a return of capital in whole or in part. Income may be achieved by foregoing future capital growth. Changes in rates of exchange may have an adverse effect on the value, price or income of investments. Where investments are made in emerging markets their potential volatility may increase the risk to the value of and the income from the investment. Political or economic change may be more likely to occur and have a greater effect on the economies and markets of emerging countries. Settlement and custody standards may not be as high and supervisory and regulatory authorities may not be as sophisticated as developed markets. Many emerging markets are small, have low trading volumes and their shares may be less liquid. The fund may invest in fixed interest assets; receiving the income due from such debt instruments and the return of the principal is dependent upon the provider's ability to pay. Changes in interest rates can affect the value of the fixed interest holdings. The fund may invest in warrants; small movements in the price of the asset to which the warrant relates may result in a disproportionately large movement in the price of the warrant, which may cause volatility. The fund may place cash on deposit with approved counterparties, the return of which will be dependent upon the continued solvency of the counterparty.
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  • Damian Bird

    Damian Bird

    Lead Portfolio Manager

    Anders Heegaard

    Anders Heegaard

    Co-Portfolio Manager

    Christopher Darling

    Christopher Darling

    Co-Portfolio Manager