The Fund seeks long-term capital appreciation.
TOP HOLDINGS (all classes) as of
|TENCENT HLDGS HKD0.00002||0.06797|
|AIA GRP NPV||0.05251|
|CHINA INTL TRAVEL A CNY1||0.04311|
|HANGZHOU HIKVISION DIGITAL A CNY1||0.03973|
|SHANGHAI INTL AIRPORT A CNY1||0.03576|
|CHINA MOBILE NPV||0.03112|
|MTR CORP NPV||0.02992|
|CSPC PHARMACEUTICAL GRP NPV||0.02944|
|CHINA MERCHANTS BANK-H CNY1||0.02909|
|HONG KONG EXCHANGES & CLEARING NPV||0.02887|
Concentrating investments in China and Hong Kong subjects the Fund to more volatility and greater risk of loss than geographically diverse mutual funds.
Foreign securities are more volatile, harder to price and less liquid than U.S. securities. They are subject to different accounting and regulatory standards, and political and economic risks. These risks are enhanced in emerging markets countries.
Equity stocks of small and mid-cap companies carry greater risk, and more volatility than equity stocks of larger, more established companies.
Please read the prospectus for more detailed information regarding these risks.