
Description The Company seeks to achieve returns of over 10% per annum with relatively low volatility over a medium to long term horizon by investing in the Asian credit and bond markets. Asian markets include the People’s Republic of China, Hong Kong, Korea, Taiwan, the Philippines, Thailand, Malaysia, Singapore, Indonesia, Vietnam, India, Pakistan, Japan (high yield securities only), Russia and the Commonwealth of Independent States. To view the detailed information, you need to SUBSCRIBE with us. |
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