
Description The Funds primary investment objective is to generate long-term total return (capital gain and coupon) by investing at least two-thirds of the Funds assets in Asian (excluding Japan) debt securities and instruments, with a maximum of one-thirds of the Fund assets in other Emerging Markets debt securities and instruments; and up to 10% of the Fund assets in Asia frontier markets. To view the detailed information, you need to SUBSCRIBE with us. |
![]() |