Name | | |
Last NAV | 525.44 | 117.48 |
Date of Valuation | 2025/09/12 | 2025/09/12 |
Sharpe Ratio | 0.46 | 0.51 |
3-Year Risk Return Ratio | -0.61 | 0.88 |
Cumulative Performance (%) |
| +11.07% | +9.10% |
| +18.67% | +25.88% |
| +37.32% | +28.09% |
| +19.12% | +34.46% |
| -25.77% | +14.40% |
| -10.53% | -12.20% |
| +4.44% | +38.00% |
| N/A | +1,074.80% |
Calendar Year Performance (%) |
| -25.77% | +14.40% |
| -35.61% | -38.90% |
| -10.53% | -12.20% |
| +164.57% | +82.00% |
| +4.44% | +38.00% |
3-Year Annualised Volatility | 30.99% | 19.82% |
Funds House | BNP Paribas Investment Partners - BNP Paribas L1 Funds | J.P. Morgan Asset Management |
Portfolio Manager | Ulrik FUGMANN & Edward LEES | Oliver Cox & Joanna Kwok (Hong Kong) |
Funds Type | Equity Funds | Equity Funds |
Funds Size | USD 1082025600 | USD 746700000 |
Base Currency | EUR | USD |
Sector | Energy | Technology |
Geographic Allocation | Global | Pacific(including Japan) |
Top Holdings |
| FIRST SOLAR INC (6.19%) | Taiwan Semiconductor Manufacturing (7.10%) |
| FLUENCE ENERGY INC CLASS A A (5.62%) | SK hynix (3.50%) |
| CAMECO CORP (5.51%) | Sea (3.60%) |
| NVIDIA CORP (5.46%) | Hon Hai Precision (3.30%) |
| VERTIV HOLDINGS CLASS A A (5.36%) | BYD (3.10%) |
| SIEMENS ENERGY N AG (5.23%) | Tencent Holdings (3.90%) |
| ARRAY TECHNOLOGIES INC (4.95%) | Advantest (3.30%) |
| NVENT ELECTRIC PLC (4.58%) | TDK (3.20%) |
| SUNRUN INC (4.35%) | Tata Consultancy Services (3.10%) |
| CONTEMPORARY AMPEREX TECHNOLOGY CO LTD (3.64%) | Delta Electronics (3.80%) |
Minimum Initial Investment | EUR 800 | USD 1000 |
Initial Sales Fee | Up to 5% of the net asset value of the relevant share class subscribed | 5.0% of NAV |
Switching Fee | Up to 2% of the net asset value of the relevant share class converted | 1.0% of NAV |
Maintenance Fee | Other fees:Up to 0.35%(Other fees cover the general asset custody expenses payable to the custodian and the daily administration expenses) | 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 |
Launch Date | 2013/05/17 | 1997/08/15 |
End of Financial Year | 31/12 | 30/09 |
Country of Registry | Luxembourg | Hong Kong |
Other Relevant Information | | |
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