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Cumulative Performance
Calendar Year Performance
Factual Information
Name
Last
NAV
Valuation
Date
Sharpe
Ratio
Cumulative Performance
Annual Volatility
(3 Years) (%)
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1 M
3 M
6 M
YTD
1 Yr
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Launch
BlackRock World Energy Fund (USD) A2 26.16 2025/10/27 0.05 -3.40% +2.91% +11.22% +7.17% +3.60% +11.18% +208.49% +161.60% 14.10%
BlackRock World Financials Fund (USD) A2 68.90 2025/10/27 N/A -2.61% -0.45% +34.05% +28.09% +34.70% +121.33% +172.01% +589.00% 18.97%
Allianz Little Dragons -Class AT (USD) Acc. 136.76 2025/10/27 N/A -2.16% +2.37% +16.22% +15.96% +15.92% +44.69% +11.21% +136.90% 12.32%
Henderson Horizon Fund China Opportunities Fund (USD) A2 19.63 2025/10/27 N/A -2.05% +7.09% +24.56% +35.29% +29.14% +58.69% -23.77% +96.30% 22.14%
Allianz China Equity- Class A (USD) Dis. 70.68 2025/10/27 N/A -1.96% +8.93% +32.21% +36.36% +27.88% +65.10% -14.50% +606.80% 24.13%
Allianz Hong Kong Equity -Class A (USD) Dis. 284.36 2025/10/27 N/A -1.96% +7.41% +31.88% +37.33% +30.59% +68.74% +1.58% +2,743.57% 23.06%
Barings Developed and Emerging Markets High Yield Bond Fund (USD) Q-Inc 7.49 2025/10/27 1.50 -1.83% -0.40% +1.63% +0.27% -1.19% +7.15% -13.91% N/A 5.58%
BNP Paribas L1 Equity China Classic Cap (USD) 508.71 2025/10/27 0.30 -1.74% +7.38% +21.79% +34.38% +29.03% +59.63% -23.53% N/A 21.56%
Schroder ISF-Latin American (USD) A Acc 50.39 2025/10/27 0.79 -1.46% +9.41% +21.42% +32.57% +15.90% +21.68% +61.43% +403.43% 16.44%
HSBC GIF Chinese Equity (USD) AD 120.10 2025/10/27 N/A -1.36% +8.79% +26.81% +32.58% +26.83% +64.13% -14.50% N/A 20.72%
BlackRock China Fund (USD) A2 21.12 2025/10/27 0.19 -1.26% +6.08% +23.01% +26.77% +21.45% +64.49% -15.65% +111.20% 21.54%
Schroder ISF-Global Energy (USD) A Acc 20.46 2025/10/27 0.56 -1.25% +2.53% +21.69% +13.01% +8.89% +27.09% +277.45% -26.81% 14.27%
BlackRock Latin American Fund (USD) A2 73.51 2025/10/27 0.05 -0.93% +8.39% +23.13% +40.50% +15.35% +24.74% +54.27% N/A 18.75%
Fidelity Funds - Global Financial Services Fund A-EUR 68.50 2025/10/27 0.51 -0.88% -1.34% +7.69% +3.74% +9.30% +48.95% +116.57% +242.50% 12.46%
Fidelity Funds - Thailand Fund A-USD 38.90 2025/10/27 1.71 -0.77% +4.49% +11.65% -2.11% -8.36% -9.56% -6.54% +289.00% 15.69%
Schroder ISF-Italian Equity (EUR) A Acc 76.97 2025/10/27 -0.06 -0.61% +4.30% +22.39% +28.79% +40.03% +101.24% +148.69% +1,391.71% 13.92%
Value Partners Intelligent Funds - Chinese Mainland Focus Fund (USD) 74.42 2025/10/27 N/A -0.53% +10.63% +29.04% +33.95% +31.90% +52.28% -10.69% +644.20% 20.00%
Franklin Natural Resources Fund (USD) A (acc) 9.67 2025/10/27 N/A -0.51% +9.14% +20.42% +19.98% +13.90% +25.58% +186.94% -3.30% 13.44%
Franklin Floating Rate Fund plc (USD) A (Mdis) 6.69 2025/10/27 N/A -0.37% -1.43% +0.55% -2.43% -2.57% 0.00% -2.48% -29.06% 2.71%
Fidelity Funds - Italy Fund A-EUR 74.65 2025/10/27 0.22 -0.35% +1.73% +15.25% +25.72% +24.52% +79.66% +136.68% +1,346.71% 13.51%
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