EdR Asia I
The fund’ s objective is to obtain an increase in the net asset value by selecting, on a discretionary basis, stocks primarily listed on the equity markets of the Asia ex-Japan region.
The management company implements a discretionary strategy which aims to invest a minimum of 60% of the net assets in shares and other similar securities from the Asia ex-Japan region (primarily Hong Kong, China, Taiwan, South Korea, Thailand, Malaysia, Singapore, the Philippines, Indonesia and India).
Between 60% and 110% of its assets shall be exposed to the equity markets of Asia ex-Japan, either directly or via UCITS and/or forward financial instruments. The FCP invests in an investment universe comprising the shares of companies with a capitalization of over USD 500 million, in all sectors, using a discretionary allocation between different strategies.