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Data  



    
 
JPMorgan Taiwan Fund (USD)

 
AllianceBernstein - International Technology Portfolio (USD) A

Name
Performance
Last NAV 34.42 892.36
Date of Valuation 2025/05/15 2025/05/15
Sharpe Ratio 0.69 N/A
3-Year Risk Return Ratio 0.47 0.82
Cumulative Performance (%)
  • 1-Month
+23.24% +22.33%
  • 3-Month
+4.27% -8.34%
  • 6-Month
+4.88% +1.19%
  • YTD
+3.86% -1.14%
  • 1-Year
+32.40% +45.13%
  • 3-Year
+32.80% +14.68%
  • 5-Year
+30.60% +40.67%
  • Since Launch
+169.33% +1,351.70%
Calendar Year Performance (%)
  • 2023
+32.40% +45.13%
  • 2022
-36.10% -40.48%
  • 2021
+32.80% +14.68%
  • 2020
+38.20% +69.02%
  • 2019
+30.60% +40.67%
3-Year Annualised Volatility 20.78% 25.30%
Funds Characteristics
Funds House J.P. Morgan Asset Management AllianceBernstein Hong Kong Ltd
Portfolio Manager James Yeh & Connie Shen Samantha S. Lau & Lei Qiu
Funds Type Equity Funds Equity Funds
Funds Size USD 210600000 USD 1477590000
Base Currency USD USD
Sector General International Technology
Geographic Allocation Taiwan Global
Portfolio content
Top Holdings
  • 01
Taiwan Semiconductor (9.70%) Microsoft Corp. (1.94%)
  • 02
Hon Hai Precision (6.60%) Apple, Inc. (2.55%)
  • 03
Quanta Computer (5.10%) Meta Platforms, Inc. (3.96%)
  • 04
Delta Electronics (2.90%) Arista Networks, Inc. (1.74%)
  • 05
Ase Technology Holding (2.80%) ServiceNow, Inc. (2.14%)
  • 06
Mega Financial (3.00%) Taiwan Semiconductor Manufacturing (3.29%)
  • 07
CTBC Financial (3.30%) Advantest Corp. (1.59%)
  • 08
E.Sun Financial (3.20%) NVIDIA Corp. (10.20%)
  • 09
Accton Technology (3.20%) Oracle Corp. (1.85%)
  • 10
MediaTek (5.50%) Broadcom, Inc (1.57%)
Investments and Fees
Minimum Initial Investment USD 1000 USD 2000
Initial Sales Fee Currently 5.0% (up to 8.5% of NAV) Class A Shares: up to 5% of the purchase price. Not applicable to other Share Classes.
Switching Fee 1.0% of NAV Not Applicable
Maintenance Fee Operating and administrative expenses (including Custodian fee):0.4% of NAV p.a. Contingent Deferred Sales Charge Class B Shares: Where applicable up to 4% (depending on years held) of the lesser of the current Net Asset Value or original cost of the Shares being redeemed. Contingent Deferred Sales Charge Class C Shares: Where applicable up to 1% (depending on years held) of the lesser of the current Net Asset Value or original cost of the Shares being redeemed. Contingent Deferred Sales Charge: Not applicable to other Share Classes. Distribution fee Class B Shares: 1.00% p.a. of average daily Net Asset Value. Distribution fee: Not applicable to other Share Classes. Administration Fee payable to the Management Company: 0.05% p.a. of average daily Net Asset Value. Custodian fee: These fees may decrease or increase depending on the assets of the Portfolio and transaction volume or for other reasons(Please refer to the prospectus for the latest annualized amounts expressed as a percentage of average daily Net Asset Value of the Portfolio for the respective fees.).Administration fee payable to the Administrator: Same as Custodian fee. Transfer Agent fee: Same as Custodian fee. The current annual rate may be increased up to specified permitted maximum level as set out in the offering document by giving up to 3 month(s) (as may be required by the SFC) prior notice to investors.
Redemption Fee Currently 0% (up to 1.0% of NAV) Not Applicable
Date and others
Launch Date 2001/05/18 1995/10/02
End of Financial Year 30/06 31/05
Country of Registry Luxembourg Luxembourg
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