View 2024 dividend distribution dates

First Sentier Investors Global Umbrella Fund

Distribution frequency

Record dates

Ex-dividend dates

Reinvestment dates

Cash payment dates

Half-yearly

07-Feb-2024

08-Feb-2024

09-Feb-2024

20-Feb-2024

07-Aug-2024

08-Aug-2024

09-Aug-2024

19-Aug-2024

Quarterly

07-Feb-2024

08-Feb-2024

09-Feb-2024

20-Feb-2024

08-May-2024

09-May-2024

10-May-2024

21-May-2024

07-Aug-2024

08-Aug-2024

09-Aug-2024

19-Aug-2024

06-Nov-2024

07-Nov-2024

08-Nov-2024

18-Nov-2024

Monthly

31-Jan-2024

01-Feb-2024

02-Feb-2024

20-Feb-2024

29-Feb-2024

01-Mar-2024

04-Mar-2024

11-Mar-2024

28-Mar-2024

02-Apr-2024

03-Apr-2024

10-Apr-2024

30-Apr-2024

01-May-2024

02-May-2024

10-May-2024

31-May-2024

04-Jun-2024

05-Jun-2024

12-Jun-2024

28-Jun-2024

01-Jul-2024

02-Jul-2024

09-Jul-2024

31-Jul-2024

01-Aug-2024

02-Aug-2024

12-Aug-2024

30-Aug-2024

02-Sep-2024

03-Sep-2024

10-Sep-2024

30-Sep-2024

01-Oct-2024

02-Oct-2024

09-Oct-2024

31-Oct-2024

01-Nov-2024

04-Nov-2024

12-Nov-2024

29-Nov-2024

02-Dec-2024

03-Dec-2024

10-Dec-2024

31-Dec-2024

02-Jan-2025

03-Jan-2025

10-Jan-2025

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Asia Pacific

SHARE CLASS CURRENCY DISTRIBUTION FREQUENCY # EX-DIVIDEND DATE EX-DIVIDEND PRICE DIVIDEND PAYOUT/SHARE DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH DIVIDEND PAID OUT OF CAPITAL ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
Asia Pacific
FSSA Asia Focus Fund Class I (H Dist) USD Half-yearly 08 Feb 2024 10.9575 0.0183 0.0183 - 0.33
FSSA Asian Equity Plus Fund Class I (H Dist) USD Half-yearly 08 Feb 2024 50.3735 0.4010 - 0.4010 1.59
FSSA Asian Equity Plus Fund Class III (H Dist) USD Half-yearly 08 Feb 2024 15.3480 0.1250 0.0481 0.0769 1.63
FSSA Asian Equity Plus Fund Class III (H Dist) GBP Half-yearly 08 Feb 2024 17.7736 0.1433 0.0443 0.0990 1.61
FSSA Asian Equity Plus Fund2 Class I N Hedged (H Dist) RMB Half-yearly 08 Feb 2024 81.6047 0.5751 - 0.5751 1.41
FSSA Asian Growth Fund Class I (H Dist) USD Half-yearly 08 Feb 2024 46.6853 - - - 0.00

Asia Pacific

Asia Pacific

FSSA Asia Focus Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
10.9575
DIVIDEND PAYOUT/SHARE
0.0183
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
0.0183
DIVIDEND PAID OUT OF CAPITAL
-
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
0.33

FSSA Asian Equity Plus Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
50.3735
DIVIDEND PAYOUT/SHARE
0.4010
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
-
DIVIDEND PAID OUT OF CAPITAL
0.4010
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
1.59

FSSA Asian Equity Plus Fund

SHARE CLASS
Class III (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
15.3480
DIVIDEND PAYOUT/SHARE
0.1250
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
0.0481
DIVIDEND PAID OUT OF CAPITAL
0.0769
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
1.63

FSSA Asian Equity Plus Fund

SHARE CLASS
Class III (H Dist)
CURRENCY
GBP
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
17.7736
DIVIDEND PAYOUT/SHARE
0.1433
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
0.0443
DIVIDEND PAID OUT OF CAPITAL
0.0990
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
1.61

FSSA Asian Equity Plus Fund2

SHARE CLASS
Class I N Hedged (H Dist)
CURRENCY
RMB
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
81.6047
DIVIDEND PAYOUT/SHARE
0.5751
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
-
DIVIDEND PAID OUT OF CAPITAL
0.5751
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
1.41

FSSA Asian Growth Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
46.6853
DIVIDEND PAYOUT/SHARE
-
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
-
DIVIDEND PAID OUT OF CAPITAL
-
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
0.00

China

SHARE CLASS CURRENCY DISTRIBUTION FREQUENCY # EX-DIVIDEND DATE EX-DIVIDEND PRICE DIVIDEND PAYOUT/SHARE DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH DIVIDEND PAID OUT OF CAPITAL ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
China
FSSA China Growth Fund Class I (H Dist) USD Half-yearly 08 Feb 2024 134.9770 0.1872 0.1872 - 0.28
FSSA Greater China Growth Fund Class I (H Dist) USD Half-yearly 08 Feb 2024 92.9830 0.5014 0.5014 - 1.08
FSSA Greater China Growth Fund Class III (H Dist) USD Half-yearly 08 Feb 2024 15.3986 0.1113 0.1113 - 1.45

China

China

FSSA China Growth Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
134.9770
DIVIDEND PAYOUT/SHARE
0.1872
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
0.1872
DIVIDEND PAID OUT OF CAPITAL
-
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
0.28

FSSA Greater China Growth Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
92.9830
DIVIDEND PAYOUT/SHARE
0.5014
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
0.5014
DIVIDEND PAID OUT OF CAPITAL
-
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
1.08

FSSA Greater China Growth Fund

SHARE CLASS
Class III (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
15.3986
DIVIDEND PAYOUT/SHARE
0.1113
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
0.1113
DIVIDEND PAID OUT OF CAPITAL
-
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
1.45

India

SHARE CLASS CURRENCY DISTRIBUTION FREQUENCY # EX-DIVIDEND DATE EX-DIVIDEND PRICE DIVIDEND PAYOUT/SHARE DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH DIVIDEND PAID OUT OF CAPITAL ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
India
FSSA Indian Subcontinent Fund Class I (H Dist) USD Half-yearly 08 Feb 2024 165.8270 - - - 0.00

India

India

FSSA Indian Subcontinent Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
165.8270
DIVIDEND PAYOUT/SHARE
-
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
-
DIVIDEND PAID OUT OF CAPITAL
-
ACTUAL DIVIDEND YIELD OVER PAST 12 MTHS (%)
0.00

2 As the FSSA Asian Equity Plus Fund Class I RMB N Hedged (H Dist) was launched on 18 January 2023, there was no dividend payout in February 2023. The share class will be entitled to the first dividend payout (if any) in August 2023, subject to declaration at the time.

#  Dividends are not guaranteed and may be paid out of capital.  The Fund(s) aim(s) to provide dividend at e.g. monthly, half-yearly, quarterly basis.

Source: First Sentier Investors.

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. 

Warning: Please note that a positive distribution yield does not imply a positive return. Investors should not make any investment decision solely based on information contained in the table above. You should read the relevant offering document (including the key facts statement) of the fund for further details including the risk factors. 

“Net Distributable Income” generally means the investment income (e.g. dividend income) net of fees and expenses attributable to the relevant share class and may also include net realised gains (if any) based on unaudited financial accounts. Net Distributable Income which has not been paid as dividends can be carried forward within the same financial year".

Payment of dividends out of capital, or payment of fees and expenses out of capital to increase distributable income, amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Any distribution involving payment of dividends effectively out of the Fund’s capital may result in an immediate decrease of the Net Asset Value per share.