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Comgest Growth Asia USD Acc

Rang 9 von 44 in - Aktien - Asien/Pazifik inkl. Japan über 12 Monate
All calculations are in EUR unless stated

Verwaltet von

Caroline Maes

Caroline Maes joined Comgest’s Singapore office in 2012 before moving to Paris in 2015 where she is a portfolio manager and analyst specialising in global emerging markets and Asian equities. Caroline has over ten years of investment experience and co-leads the management of the Comgest Growth GEM Promising Companies and Comgest Growth Asia funds. She started her career in 2003 as a research associate at Alliance Bernstein in New York before moving to the IPO department of UOB Kay Hian in Singapore in 2006. Caroline then joined CLSA in Singapore where she held the role of equity research analyst for more than five years. She graduated with a Bachelor’s degree in Quantitative Economics and International Relations from Tufts University in the USA.

Chantana Ward

Chantana Ward joined Comgest in 1998. Based in Paris, she is an analyst and portfolio manager within the Japanese equity team and travels regularly to Japan to research companies and spend time with the Tokyo‐based team members. Chantana has been co‐leading the CG Nouvelle Asie fund since 2002 and also co‐leads the Comgest Growth Asia fund. Since 2008 she has been co‐lead on the Comgest Japan and Comgest Growth Japan funds. Chantana holds an MSc in finance from Baruch College’s Zicklin School of Business in New York, a dual diploma with The American University of Paris.

Anlageziel

The investment objective of the Asia Fund is to achieve long-term capital growth by creating a professionally managed portfolio consisting of what, in the opinion of the Investment Manager, are high quality long-term growth companies based or operating in Asia, notably Hong Kong, Singapore, Malaysia, Thailand, Taiwan, the Philippines, Indonesia, Pakistan, India, Japan, South Korea and China.

Performance

Aktien - Asien/Pazifik inkl. Japan über : 31.10.2016 - 31.10.2017

Gesamtertrag

Auf das Jahr Quartalsperformance

bis 29.09.2017 Jährlich Q1 Q2 Q3 Q4
2017 9,2% 0,9% 2,6%
2016 6,9% -4,5% 6,7% 5,4% -0,4%
2015 16,7% 22,4% 0,1% -15,4% 12,7%
2014 22,5% -0,1% 6,8% 8,0% 6,3%
2013 10,7% 4,3% -0,2% 3,6% 2,7%
2012 0,3% 6,5% -3,9% 1,6% -3,6%
2011 -11,2% -8,5% -0,5% -1,9% -0,6%
2010 20,0% 8,8% -0,1% -0,9% 11,4%
2009 27,3% -4,7% 17,3% 8,0% 5,4%
2008 -44,2% -20,3% -0,9% -16,9% -14,9%
2007 -0,2% 0,5% 3,7% 5,0% -8,8%
2006 -2,1% 3,1% -9,4% 1,3% 3,5%
2005 45,1% 2,6% 10,8% 12,2% 13,8%
2004 5,0% 11,0% -1,5% -5,6% 1,7%
2003 10,0% -10,0% 10,6% 11,7% -1,1%
2002 -19,8% 9,2% -6,4% -15,4% -7,2%
2001 -9,8% -1,0% 9,4% -20,4% 4,7%
2000 -21,7% 6,7% -9,3% 1,3% -20,2%

Monatliche Performance

Rendite vs Risiko

Zum Verkauf zugelassen in

  1. Österreich
  2. Belgien
  3. Frankreich
  4. Deutschland
  5. Luxemburg
  6. Niederlande
  7. Schweiz
  8. Vereinigtes Königreich

Information über den Fonds

  • Starttermin04.06.2015
  • Größe der Anteilsklasse105Mn
  • BasiswährungUSD
  • ISIN IE00BQ3D6V05

Kaufinformation

  • Mindestanlage (initial)50
  • Mindest regelmäßige Zusatzinvestition0

Gebühren

  • Jährliche Verwaltungsgebühr1,50%

Performance bezieht sich auf die gezeigte Laufzeit (Monatsende bis Monatsende, Angebotspreis/Angebotspreis, Brutto-Erträge reinvestiert, in angezeigter Währung/angezeigten Währungen berechnet)