Handelsbanken Asien Tema (A1 EUR)

Legal name: Handelsbanken Asien Tema (A1 EUR)
Equity Fund Registered in Sweden (UCITS) Bid

About risk

Historical yields are not a guarantee of future returns. A fund can both increase and decrease in value and it is not guaranteed that you will recover the entire invested amount. Note that a fund with risk level 5-7, as stated in the fund's fact sheet (KID), can vary greatly in value due to the fund's composition and management methodology. The prospectus, fund rules and KID can be obtained in English at www.handelsbanken.lu. Summary of investors' rights.

Note that Handelsbanken Fonder AB may decide to terminate the arrangements made for the marketing of funds in Luxembourg.

Objectives and Investment Policy
The fund is actively managed, which means that the portfolio manager takes active, independent investment decisions. The long term objective of the fund is to exceed the returns of the underlying market, defined as the benchmark index.

Fund returns are determined by how the fund's investments in equities increase or decrease in value. The fund invests in equities that are primarily issued by companies in Asia, New Zealand and Australia or in companies that have a minimum of 50% of their business activity or market in Asia, and thereby have a currency exposure in these markets.

The thematic investment strategy provides for investments that occur in a limited area in which development is deemed to result in a structural change to the economy and society. This change provides favorable conditions for companies active within the area to create profitable growth over time. Our main themes are Demographics, Productivity, Lifestyles and the Environment.

International norms and guidelines for the environment, social responsibility and corporate governance are taken into consideration within the scope of the fund’s investment focus. The fund applies an exclusion strategy for companies operating within the fossil fuels, military equipment, tobacco, cannabis, alcohol, commercial gambling and pornography segments/sectors. However, the fund may invest in companies or funds that invest in companies involved in power generation, distribution or services related to fossil fuels in those cases where the company is deemed to be transitioning its operations to more renewable energy.
The fund may invest in derivative instruments as part of its investment focus. The fund may invest a maximum of 10% of the fund capital in fund units.

We compare the fund's performance with Solactive ISS ESG Asia ex Japan UCITS Index NTR. As the fund is actively managed the performance will over time deviate from this index.

The shareclass does not distribute dividends. All income is reinvested in the fund. Normally, you may purchase and sell fund units every banking day.

Additional information about the sustainability work, the share class designation in parentheses and the management in relation to the funds benchmark index and risk level, may be found in the prospectus.

Recommendation: This fund may not be suitable for investors who plan to withdraw their money within 5 years.

Performance

In percent including distribution
The bar chart above shows the fund’s historical performance in EUR, net of fees. If the fund pays dividends, performance is calculated with the distribution added back. Inflation has not been taken into account.
Performance Fund 1 Index 2
30.11.2024 17.90 17.93
2023 -1.81 4.58
2022 -14.55 -15.68
2021 1.18 2.57
2020 16.07 15.53
Average. perf. Fund 1 Index 2
2 years 5.39 8.79
3 years -0.23 1.39
5 years 3.97 5.20
10 years 6.78 6.36
     

Sector Breakdown 31.12.2024

Largest holdings 31.12.2024

Taiwan Semiconductor Manufacturing Co Ltd 9.97%
Tencent Holdings Ltd 7.58%
DBS Group Holdings Ltd 4.77%
HDFC Bank Ltd 4.27%
ICICI Bank Ltd 2.26%
Alibaba Group Holding Ltd ADR 2.23%
AIA Group Ltd 1.84%
PDD Holdings Inc ADR 1.78%
Infosys Ltd 1.77%
MediaTek Inc 1.74%

Risk measures (3 years) 30.11.2024

Total risk 16.93%
Total risk in index 15.78%*
Tracking error 3.24%*
Information ratio -0.50*
Sharpe ratio -0.16
Sharpe ratio index -0.06*
Key figures for risk follow-up

Facts

Fund Facts
Fund managed by Mikael Sens
Country of registration Sweden
Main category Equity Fund
Sub category Emerging markets
Fund, date of launch 28.04.1989
Share class, date of launch 26.02.2015
Fund assets 6,254 MSEK (31.05.2024)
Reporting Currency EUR
Trading Currency -
Instrument category Uncomplicated
UCITS Yes
ISIN SE0006789590
Short name -
Available for sale Finland, Luxembourg, Sweden
Fund Company Facts
Management Company Handelsbanken Fonder AB
Approval of fund operations 06.05.1991
Other approvals Discretionary Asset Management
Manager of Alternative Investment Funds (AIFs)
Provide investment advice
Receive and forward orders
Custodian Institution J. P. Morgan SE - Stockholm Bankfilial
Legal domicile of fund Stockholm, Sweden
Regulation Authority Swedish Financial Supervisory Authority
Auditor PricewaterhouseCoopers
Complaints Manager -