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Data  



    
 
Baring Korea Feeder Fund (USD)

 
JPMorgan Korea Fund (USD)

Name
Performance
Last NAV 20.20 63.20
Date of Valuation 2025/01/09 2025/01/09
Sharpe Ratio 0.80 0.76
3-Year Risk Return Ratio -0.62 -0.63
Cumulative Performance (%)
  • 1-Month
+2.96% +2.65%
  • 3-Month
-9.05% -10.63%
  • 6-Month
-15.13% -15.97%
  • YTD
+6.37% +6.06%
  • 1-Year
+12.37% +14.80%
  • 3-Year
-0.61% +6.50%
  • 5-Year
-3.30% +8.60%
  • Since Launch
N/A N/A
Calendar Year Performance (%)
  • 2023
+12.37% +14.80%
  • 2022
-32.88% -29.90%
  • 2021
-0.61% +6.50%
  • 2020
+47.00% +39.40%
  • 2019
-3.30% +8.60%
3-Year Annualised Volatility 16.35% 16.84%
Funds Characteristics
Funds House Baring Asset Management (Asia) Limited J.P. Morgan Asset Management
Portfolio Manager SooHai Lim & Eunice Hong John Cho & Chun Yu Wong
Funds Type Equity Funds Equity Funds
Funds Size USD 32000000 USD 179000000
Base Currency USD USD
Sector General General
Geographic Allocation Korea Korea
Portfolio content
Top Holdings
  • 01
SK hynix (8.42%) Samsung Electronics (9.80%)
  • 02
Samsung Electronics (7.31%) SK hynix (8.40%)
  • 03
Hyundai Motor (5.99%) LG Chem (3.60%)
  • 04
KB Financial Group (5.26%) Hyundai Motor (3.20%)
  • 05
Kia Corp. (3.47%) SAMSUNG C&T (3.20%)
  • 06
LG CHEM LTD (3.57%) NAVER (2.90%)
  • 07
SAMSUNG FIRE AND MARINE INSURANCE CO LTD (3.01%) SAMSUNG BIOLOGICS (4.60%)
  • 08
SAMSUNG BIOLOGICS (3.92%) Samsung Electro-Mechanics (2.50%)
  • 09
Shinhan Financial Group (4.33%) Hana Financial Group (3.40%)
  • 10
LG ENERGY SOLUTION LTD (3.47%) Shinhan Financial Group (2.80%)
Investments and Fees
Minimum Initial Investment USD 1000 USD 1000
Initial Sales Fee Up to 5% of the net asset value per unit. 5.0% of NAV
Switching Fee Not applicable 1.0% of NAV
Maintenance Fee Custodian fee (Trustee fee):0.025%, subject to monthly minimum fee of £6000.Administration fee:0.275%, subject to monthly minimum fee of £12000.Transaction charge:£50 per security transaction Trustee fee:0.03%–0.125% of NAV p.a. (maximum 0.2%; subject to the NAV and a minimum of USD 12,500 p.a.)
Redemption Fee Nil 0.5% of NAV
Date and others
Launch Date 1992/11/04 1991/12/11
End of Financial Year 30/04 30/09
Country of Registry Ireland Hong Kong
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