Think Asia. Think Income.
Income works smarter when layered. Just like kueh, resilient income portfolios are built in layers. Drawing income from different geographies and sources can help provide greater diversification to portfolios.
Asia offers a compelling income opportunity, underpinned by a significant pool of bond markets with attractive all in yields. Asia’s positive macro environment, strong earnings momentum and a rising focus on shareholder returns provide a robust and sustainable foundation to deliver income.
At Eastspring Investments, our strength as an active manager lies in knowing where to look. Our active Asia strategies combine deep local insights and bottom-up research, and the agility to manage risk in all market situations.
Explore our Eastspring Investments - Asia Select Bond Fund designed to balance income and stability by accessing bonds in Asia’s growing bond universe.
Footnote:
* (p.a.): per annum. For distributing share classes (monthly distribution): USD ADM, SGD ASDM (hedged)..
^ Distributions are not guaranteed and may fluctuate. Distribution payouts can be made out of (a) income; or (b) net capital gains; or (c) capital of the Fund or a combination of any of (a) and/or (b) and/or (c). For further details on historical distributions and their compositions for the last 12 rolling months, please refer to our website. Please refer to the full distributions disclosure at the end.
Capture Asian income opportunities
Combining active management with deep Asian expertise, our award winning capabilities offer a broad range of income solutions to help strengthen portfolios.
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Income + Growth
Eastspring Investments - Asian Equity Income Fund -
Income + Smoother Growth
Eastspring Investments - Asian Low Volatility Equity Fund
Ready to invest?
Click here to contact our distribution partners for the availability and information of our funds.
Portfolio Manager
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Rong Ren Goh
Portfolio Manager
Rong Ren Goh is a Portfolio Manager in the Fixed Income team and primarily responsible for the management of Asian, Global and Japan bond strategies, as well as thematic or Total Return oriented strategies. Rong Ren has 15 years of investment experience. He holds a Bachelor of Science (Hons) Economics from London School of Economics.
