Jupiter Asia Pacific Income Fund B USD Acc
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General Objective
The fund aims to achieve capital growth by primarily investing in company shares and similar investments of Pacific region issuers or issuers with assets or business operations in the Pacific region.
Fund Exposure
The fund invests at least 70% in company shares and similar investments from issuers in the Pacific region, including companies with a majority proportion of assets or business operations in this region. It may also invest up to 20% in China A-Shares and up to 15% in REITs. The fund uses derivatives to generate returns and reduce overall costs and risks, and is actively managed based on systematic analysis of companies.
Risks
The fund is subject to various risks including investment risk, geographic concentration risk in Asia Pacific markets, company shares risk, REITs risk, Stock Connect risk, currency risk, emerging markets risk, liquidity risk, and derivative risk. These risks may result in capital loss, impact from market movements, and constraints on pursuing investment strategies.