Funds and prices
Overview
The fund generally invests in stocks contained in the MSCI Pacific (ex Japan) Index. The relative weightings of the companies correspond to their weightings in the index.
The investment objective is to replicate the price and return performance of the MSCI Pacific (ex Japan) Index net of fees. The stock exchange price may differ from the net asset value.
The fund is passively managed.
Benefits
Clients benefit from the flexibility of an exchange-traded investment.
Provides access to the performance of the index with a single transaction.
Optimised risk/return profile thanks to a broad diversification across a range of countries and sectors.
The fund offers a high degree of transparency and cost efficiency.
UCITS compliant fund.
Risks
Features
Product category |
斗牛棋牌在线 Exchange Traded Funds
斗牛棋牌在线 ETF SICAV |
Product domicile |
Luxembourg
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Portfolio management |
斗牛棋牌在线 Asset Management (UK) Ltd., London
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Fund management |
斗牛棋牌在线 Fund Management (Luxembourg) S.A., Luxembourg
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Custodian bank |
State Street Bank Luxembourg S.A.
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Representative for products established under foreign law |
斗牛棋牌在线 Fund Management (Switzerland) AG
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Day of inception |
October 2, 2009
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Currency of account |
USD
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Close of financial year |
December 31
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Issue / redemption |
daily
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Next distribution |
January
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Maturity |
Open end
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Management fee |
0.14% p.a.
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Total expense ratio (TER) |
0.14% p.a.
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Minimum investment |
n.a.
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Reference Index / Benchmark |
MSCI Pacific ex Japan Total Return Net
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Distribution Frequency |
twice a year
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Securities no. |
10461044
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ISIN |
LU0446734526
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Bloomberg Ticker |
PACEUA IM, UIMD NA, PACUSA SW, PACEUA GY, UB20 LN
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Reuters Id |
PACEUA, PACUSA, PACGBA
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Performance and Prices
Percentage growth
as of April 3, 2024USD(%) | CHF(%) | EUR(%) | |
YTD | -2.27 | 5.18 | -0.25 |
1M | |||
3M | |||
6M | |||
1Y | |||
2Y | 6.17 | -3.42 | 2.57 |
3Y | |||
5Y | 11.00 | 0.87 | 15.18 |
ø p.a.5Y | 2.11 | 0.17 | 2.87 |
Current data
Net asset value | 03.04.2024 | USD 41.56 |
High - last 12 months | 20.04.2023 | USD 43.40 |
Low - last 12 months | 31.10.2023 | USD 37.05 |
Last distribution | 07.02.2024 | USD 0.61 |
Assets of the unit class in mn | 03.04.2024 | USD 79.84 |
Total product assets in mn | 03.04.2024 | USD 94.93 |
Constituents | 29.02.2024 | 120.00 |
Structures
Fees
Distributions
Date of distribution
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Pay date
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Cps no.
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Currency
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Distribution
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08.08.2023 | 11.08.2023 | - | USD | 0.85 | 01.02.2024 | 07.02.2024 | - | USD | 0.61 |
Authorisations
Literature
Document type
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Document Language
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Prospectus |
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Key Information Document |
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Past performance |
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Previous performance scenario |
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Swiss Climate Scores Report |
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ASIP ESG Report |
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Document type
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Document Language
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Solvency II Reporting Q1 2023 |
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Solvency II Reporting Q2 2023 |
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Solvency II Reporting Q3 2023 |
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Solvency II Reporting Q4 2023 |
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Document type
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Document Language
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Annual report |
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Semi-annual report |
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Document type
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Document Language
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斗牛棋牌在线 Funds - Your funds at a glance |
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Tax list |
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