investment_programs.slider.risk.current
Low risk
Lower expected income
High risk
Higher expected income

This investment strategy aims to ensure capital growth by investing in equities of Asian companies (excluding Japan). To manage risk and achieve investment objectives, derivative financial instruments may also be utilized.

Get acquainted with the mandatory information document HERE.

For more information, please visit the fund manager's website HERE.

Investment object

Fund Schroder ISF Asian Opportunities C
Fund manager Schroder Investment Management (Europe) S.A.
Launch date 2006-03-22
Currency EUR
ISIN code LU0248183658
Risk indicator 4
Date 2025-04-01
Cena 26.82

Historical returns

Returns

as of 2025-04-01
Short-term returns
Long-term returns
Annualized returns
1 day
0.00% (investment_programs.table.unchanged)
1 year
6.65% (vērtības pieagums)
1 year
6.65% (vērtības pieagums)
1 month
-4.10% (vērtības samazināšanās)
3 years
2.08% (vērtības pieagums)
3 years
0.69% (vērtības pieagums)
3 months
-3.90% (vērtības samazināšanās)
5 years
42.54% (vērtības pieagums)
5 years
7.35% (vērtības pieagums)
6 months
-3.79% (vērtības samazināšanās)
10 years
69.88% (vērtības pieagums)
10 years
5.44% (vērtības pieagums)
Year to date (YTD)
-3.90% (vērtības samazināšanās)