Create price alert
You'll receive email alerts when this fund reaches a certain price
Daily Change
Asset Class
Risk Level
MorningStar Rating
System error
That's an error. Please try again.
Fund offering documents
- Overview
- Annual performance
- Price search
- Key facts
- Products with this fund
Exit full screen
errorTitle
errorDescription
Annual performance overview
Price performance records
From
To
Date | Nav |
---|
Show more +
Key facts
|
|
---|---|
Investment objectives
|
This fund seeks to achieve long-term capital appreciation as well as stable income, by investing in Asian (excluding Japan) equities; and fixed income securities denominated primarily in SGD, in such proportion as the manager deems fit. |
Management company
|
Aberdeen Standard Investments Luxembourg S.A. |
Investment manager
|
Aberdeen Asset Managers Limited – the United Kingdom (internal delegation) |
Depositary
|
BNP Paribas Securities Services, Luxembourg Branch |
Ongoing charges over a year*
|
Class A Acc USD: 2.00% Class A Acc Hedged EUR: 2.04% Class A Acc EUR: 2.00% Class A Acc GBP: 2.00% |
Dealing frequency
|
Daily |
Dividend policy
|
Class A Acc USD, Class A Acc Hedged EUR, Class A Acc EUR and Class A Acc GBP No dividend payment |
Financial year end
|
30 September |
Fund Source