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FUND SHARE CLASS CURRENCY ISIN SEDOL VALUATION DATE NAV / BID PRICE
FSSA ASEAN All Cap Fund Class III (Acc) USD IE00B96TQB67 B96TQB6 23 May 2025 11.8886
FSSA ASEAN All Cap Fund5 Class I (Acc) USD IE0031814969 3214239 23 May 2025 71.4986
FSSA Asia Opportunities Fund2 Class I (Acc) USD IE0009570106 3218145 23 May 2025 59.8705
FSSA Asia Pacific Equity Fund1 Class I (Acc) USD IE00B0169L03 B0169L0 23 May 2025 20.6855
FSSA Asia Pacific Equity Fund1 Class I (H Dist) USD IE00B5213400 B521340 23 May 2025 12.7929
FSSA Asia Pacific Equity Fund1 Class III (Acc) USD IE00B0169M10 B0169M1 23 May 2025 28.8105
FSSA Asian Equity Plus Fund Class I (Acc) USD IE00B067MR52 B067MR5 23 May 2025 94.3682
FSSA Asian Equity Plus Fund Class I (H Dist) USD IE0032834883 3331882 23 May 2025 59.2081
FSSA Asian Equity Plus Fund Class III (Acc) USD IE00B4WZJB45 B4WZJB4 23 May 2025 18.3371
FSSA Asian Equity Plus Fund Class III (H Dist) USD IE00B97MK230 B97MK23 23 May 2025 18.1600
FSSA Asian Equity Plus Fund Class I N Hedged (Acc) AUD IE00BJBYLS83 BJBYLS8 23 May 2025 12.2018
FSSA Asian Equity Plus Fund Class I N Hedged (H Dist) RMB IE000GO8UCB9 - 23 May 2025 92.3723
FSSA Asian Equity Plus Fund Class I (Acc) GBP IE00B97HWB13 B97HWB1 23 May 2025 10.9209
FSSA Asian Equity Plus Fund Class III (Acc) GBP IE00B97RD747 B97RD74 23 May 2025 11.2208
FSSA Asian Equity Plus Fund Class I (Acc) HKD IE00B97KM107 B97KM10 23 May 2025 113.5493
FSSA Asian Equity Plus Fund Class III (H Dist) GBP IE00B97LZ362 B97LZ36 23 May 2025 19.6461
FSSA Asian Growth Fund3 Class I (Acc) USD IE0008368411 0843614 23 May 2025 60.7197
FSSA Asian Growth Fund3 Class I (H Dist) USD IE00B031HW06 B031HW0 23 May 2025 55.1158
FSSA Asian Growth Fund3 Class III (Acc) USD IE0008374245 0843595 23 May 2025 79.0735

FUND SHARE CLASS CURRENCY ISIN SEDOL VALUATION DATE NAV / BID PRICE
FSSA China A Shares Fund Class I (Acc) USD IE00BKF2S510 BKF2S51 23 May 2025 9.2832
FSSA China A Shares Fund Class III (Acc) AUD IE00BKPWC821 BKPWC82 23 May 2025 10.4430
FSSA China A Shares Fund Class VI (Acc) USD IE00BH43G612 BH43G61 23 May 2025 10.2378
FSSA China A Shares Fund Class VI (Acc) GBP IE00BJN6RG23 BJN6RG2 23 May 2025 8.7747
FSSA China A Shares Fund Class VI (Dist) USD IE00BJ065F05 BJ065F0 23 May 2025 9.6418
FSSA China Focus Fund Class I (Acc) USD IE00B29SXG58 B29SXG5 23 May 2025 13.3960
FSSA China Focus Fund Class III (Acc) USD IE00B29SXJ89 B29SXJ8 23 May 2025 12.0579
FSSA China Growth Fund4 Class I (Acc) USD IE0008368742 0844877 23 May 2025 174.3466
FSSA China Growth Fund4 Class I (H Dist) USD IE00B031HY20 B031HY2 23 May 2025 159.2640
FSSA Greater China Growth Fund Class I (Acc) USD IE0031814852 B233CW5 23 May 2025 125.1437
FSSA Greater China Growth Fund Class III (Acc) USD IE00B9723685 B972368 23 May 2025 19.1679
FSSA Greater China Growth Fund Class III (H Dist) USD IE00B96WWD96 B96WWD9 23 May 2025 17.2964
FSSA Greater China Growth Fund Class I N Hedged (Acc) RMB IE000YN11P12 - 23 May 2025 87.5151
FSSA Hong Kong Growth Fund Class I (Acc) USD IE0008369823 0178446 23 May 2025 74.1189
FSSA Hong Kong Growth Fund Class III (Acc) USD IE0008375762 0843528 23 May 2025 138.2408

FUND SHARE CLASS CURRENCY ISIN SEDOL VALUATION DATE NAV / BID PRICE
FSSA Global Emerging Markets Focus Fund Class I (Acc) SGD IE00BGV7N243 - 23 May 2025 13.4682
FSSA Global Emerging Markets Focus Fund Class I (Acc) USD IE00BKMDQ976 BKMDQ97 23 May 2025 12.1691
FSSA Global Emerging Markets Focus Fund Class VI (Acc) EUR IE00BGV7N136 BGV7N13 23 May 2025 13.7664
FSSA Global Emerging Markets Focus Fund Class VI (Acc) GBP IE00BGV7N029 - 23 May 2025 12.6261
FSSA Global Emerging Markets Focus Fund Class VI (Acc) USD IE00BZ1NMJ50 BZ1NMJ5 23 May 2025 14.1697

FUND SHARE CLASS CURRENCY ISIN SEDOL VALUATION DATE NAV / BID PRICE
FSSA Indian Subcontinent Fund Class I (Acc) USD IE0008369930 0843670 23 May 2025 187.7865
FSSA Indian Subcontinent Fund Class I (H Dist) USD IE00B0FGLM12 B0FGLM1 23 May 2025 185.4433
FSSA Indian Subcontinent Fund Class III (Acc) USD IE00B6Y13T06 B6Y13T0 23 May 2025 48.7977
FSSA Indian Subcontinent Fund Class III (H Dist) USD IE00B96SMB54 B96SMB5 23 May 2025 11.3346

1 On 28 November 2024, the fund name has been changed from FSSA Asia Focus Fund to FSSA Asia Pacific Equity Fund. On 22 Sep 2020, the fund name has been changed from First State Asia Focus Fund to FSSA Asia Focus Fund. On 16 Jan 2019, the fund name has been changed from First State Asia Pacific Select Fund to First State Asia Focus Fund.

2 On 22 Sep 2020, the fund name has been changed from First State Asia Opportunities Fund to FSSA Asia Opportunities Fund. As at 6 September 2016, the investment policy of First State Asia Innovation Fund has been clarified to better align with the market. The name First State Asia Innovation Fund has been changed to First State Asia Opportunities Fund to reflect the change.

3 The benchmark displayed is the MSCI AC Asia Pacific ex Japan Index until 30 April 2002, the MSCI AC Far East ex Japan Index from 1 May 2002 until 1 November 2005 and the MSCI AC Asia ex Japan Index from 2 November 2005 onwards. Gross of tax benchmark performance is shown before 1 July 2016 and net of tax benchmark performance is shown after the aforementioned date.

4 The benchmark displayed is the MSCI Golden Dragon Index until 31 May 2002 and the MSCI China Index from 1 June 2002 onwards.

5 On 9 December 2021, the fund name has been changed from FSSA Singapore and Malaysia Growth Fund to FSSA ASEAN All Cap Fund. The Fund’s investment policy was also changed on 9 December 2021 to allow the Fund to invest primarily in equity securities or equity-related securities of companies that, at the time of investment, are listed, or have their registered offices in, or conduct a majority of their economic activity in member countries of ASEAN. Prior to 1 May 2017, the benchmark was Market Cap Weighted of MSCI Malaysia/MSCI Singapore Indices which was calculated internally. From 1 May 2017, the benchmark was changed to MSCI Singapore & Malaysia Index to adopt the official benchmark. From 9 December 2021, the benchmark of the Fund was changed to MSCI AC ASEAN Index due to the change of investment policy of the Fund.

 

FSSA Asia Pacific All Cap Fund is not authorized by the Securities and Futures Commission in Hong Kong.

Source: Lipper, Nav-Nav (with dividend reinvested where applicable)

Acc represents share class with dividends accumulated. M Dist represents share class with monthly distribution of dividends.  H Dist represents share class with half-yearly distribution of dividends.  Q Dist represents share class with quarterly distribution of dividends.  Dividends are not guaranteed and may be paid out of capital. All prices are for indication only. For detail, please refer to the Fund’s factsheet for further details including investment objective & strategy, asset allocation, top 10 holdings, comparison with benchmark (if any) and disclosure.