Japan has always been a corporate, not an economic, revival story. Investors willing to look beyond economic data will discover a market that remains attractively valued compared to global equities and one that offers opportunities from bottom-up basis.

Fund objective

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"The Fund aims to generate long-term capital appreciation by investing in the Eastspring Investments Japan Dynamic Fund, which invests primarily^ in securities of companies in Japan.

^primarily means at least 66% of the Target Fund's net asset value."

Fund information

Lipper rating

5
Total Return
5
Consistent Return
5
Preservation

Fund Type / Fund Category Growth / Wholesale (Feeder Fund)
Sales Charge:
- Direct Investments
- EPF-MIS

Up to 5.50% on NAV per unit of Class
N/a
Annual Management Fee Up to 1.80% of the Fund's NAV per annum
Annual Trustee Fee 0.06% of the NAV per annum, or its equivalent in the base currency of the Fund's NAV, subject to a minimum of RM15,000 per annum (excluding foreign custodian fees and charges)
Income Distribution Policy Incidental
Risk Profile Aggressive

Fund composition

Asset Allocations (%)

as of 31-Aug-2024

Top Holdings(%)

as of 31-Aug-2024

Fund performance

 

Returns

1M 6M 1Y 3Y 5Y YTD Since Inception
Bid-bid -4.00% 3.66% 11.21% 61.39% 121.05% 12.53% 112.52%
Benchmark -2.38% 3.64% 24.60% 60.44% 126.91% 18.99% 155.32%

Returns (%) as of 31-Aug-2024

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* Disclaimer:
  • The maintenance of this site is the responsibility of the Brand & Communications Department, Eastspring Investments Berhad.
  • Any information that falls outside this designated area does not form part of the e-prospectus and that unit trusts are offered solely on the basis of the information contained in the e-prospectus. This unit trust fund is made available only to customers and prospective customers in Malaysia. A printed prospectus, supplemental prospectus and application form are also available at our office and all authorized agents/distributors. Please click here for a list of our offices.

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