Asian Opportunities Fund

Specialist investors capturing structural change in Asia

Launch Date05.12.1996
Base CurrencyUS$
DenominationsUS$ / GBP / EUR
DomicileDublin, Ireland
IndexMSCI Asia ex-Japan
US$364.25
US$ Class Dist
NAV per share 03.07.2020
€20.7mAUM

AUM 29.05.2020

Holdings
76.87% Active Share
As at 29.05.2020