PRIMARILY INVESTS IN
  • Equities of Japanese companies
INVESTMENT HORIZON
  • Long-term (over 5 years)
CURRENCY
οr ¥
CATEGORY
  • Equity Funds
DISTRIBUTION
BY REGION / SECTOR
  • Japan

Features

Where it invests:

The Japan Portfolio is a mutual fund that invests in a diversified portfolio of equities from companies listed on the Tokyo Exchange. It is valued in Yen. Return is benchmarked against the performance of the Toppix index. The fund’s investment goal is to achieve capital gains over the long term by primarily investing in selected equities of companies with a robust presence in the marketplace that offer the potential for long-term high yields.


Who is it for:

Investors with a long-term investment horizon of over 5 years, looking to place their money in equities from Japanese companies listed on the Tokyo Exchange, while at the same time safeguarding their capital from exchange rate risk by capitalising on the strength of the Japanese Yen.


Note:

This fund is also available in Euro as Japan Portfolio (Share Class Euro), with the same portfolio structure.υ.

MUTUAL FUNDS & UNITS IN COLLECTIVE INVESTMENT SCHEMES HAVE NO GUARANTEED RETURN & PAST RETURNS DO NOT GUARANTEE FUTURE ONES