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Aberdeen Global - Asia Pacific Equity Fund (USD) A2
Last NAV
USD
 
92.49
(Last Update : 2020/08/05)
1-Month return
 
+4.20%
Fund House Aberdeen Intl Fund Managers Ltd
Fund Type Equity Funds
Fund Size
 
2.10B
Sector General
Geographic Allocation Asia Pacific
 
Fund Investment Objective & Strategy
The Fund’s investment objective is to pursue long-term total return to be achieved by investing at least two-thirds of the Fund’s assets in equities and equity-related securities of companies with their registered office in Asia Pacific countries(excluding Japan);and/or,of companies which have the preponderance of their business activities in Asia Pacific countries (excluding Japan); and/or,of holding companies that have the preponderance of their assets in companies with their registered office in Asia Pacific countries (excluding Japan).The base currency of the Fund is US Dollars.
 
 
Key Risks
General risk:The value of shares and the income from them can go down as well as up and you may get back less than the amount invested. Equity risk: The value of the Fund that invests in equity and equity-related securities will be affected by economic, political, market,and issuer specific changes. Such changes may adversely affect securities, regardless of company specific performance. Risk of investing in specific regional market: The Fund invests in a specific regional market sector and as such is likely to be more volatile than a more widely invested fund. Exchange rates risk: Movements in exchange rates can impact on both the level of income received and the capital value of your investment. If the currency of your country of residence strengthens against the currency in which the underlying investments of the Fund are made, the value of your investment will reduce and vice versa. Emerging markets risk: The Fund invests in emerging markets which tend to be more volatile than mature markets and the value of your investment could move sharply up or down. In some circumstances, the underlying investments may become illiquid which may constrain the Investment Manager’s ability to realise some or all of the portfolio. The registration and settlement rrangements in emerging markets may be less developed than in more mature markets so the operational risks of investing are higher. Political risks and adverse economic circumstances are more likely to arise, putting the value of your investment at risk.Emerging market refers to any country that is included in the MSCI Emerging Markets Index or composite thereof (or any successor index, if revised), or any country classified by the World Bank as a low to upper middle income country.
 
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