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FSSA Global Emerging Markets Focus Fund (PCT)

APIR FSF8443AU FSSA Global Emerging Markets Focus Fund (PCT)
Entry price AUD 1.5844 as of 19 May 2026
Exit price AUD 1.5798 as of 19 May 2026

Strategy Overview

To achieve long-term capital growth that exceeds the MSCI Emerging Markets Index (before fees and taxes) over rolling five-year periods.

Inception Date 30 Sep 2017
Issuer The Trust Company (RE Services) Limited (PCT)

Fund Details

Fund information (as at 30/04/2026)

APIR code FSF8443AU
Inception date 30 September 2017
Fund size (A$) 446 million
Benchmark MSCI Emerging Markets Net Index
Number of stock holdings 37
Buy / Sell spread 0.15% / 0.15%
Minimum Investment (A$) 20,000
Management fees and costs (p.a)^ 0.96%

^ Information on Management fees and costs (including estimated indirect costs) is set out in the Fund's PDS.

Performance

Annualised performance as at 30 Apr 2026

FUND NAME 1MTH 3MTHS 6MTHS 1YR 3YRS 5YRS 7YRS 10YRS SINCE INCEPTION
FSSA Global Emerging Markets Focus Fund (PCT) 7.2 (3.9) (6.2) 7.1 10.7 7.7 6.5 - 7.4
Benchmark * 9.3 2.5 4.8 30.5 17.3 7.6 8.0 - 8.2

1MTH 3MTHS 6MTHS 1YR 3YRS 5YRS 7YRS 10YRS SINCE INCEPTION
FSSA Global Emerging Markets Focus Fund (PCT) 7.2 (3.9) (6.2) 7.1 10.7 7.7 6.5 - 7.4
Benchmark (%) 9.3 2.5 4.8 30.5 17.3 7.6 8.0 - 8.2

* MSCI Emerging Markets Net Index

Past performance is not a reliable indicator of future performance. Unless otherwise stated, performance returns for periods greater than one year are annualised. Net performance returns are calculated assuming reinvestment of distributions and use exit prices which are net of management fees and performance fees (where applicable). No allowance has been made for an investor's own brokerage when they buy their units on a securities exchange. Net performance returns of the First Sentier Active Cash Fund Active ETF are calculated assuming reinvestment of distributions and use NAV per unit which are net of management fees but before brokerage or bid-ask spread that investors may incur when buying and selling units on the ASX.

Price

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* Also known as the NAV per unit.

Historical price

Unit prices are available up to 2 days prior to current date

* Also known as the NAV per unit.

Holdings

Top 10 holdings (as at 30/04/2026)

Stock name Sector %
Taiwan Semiconductor Manufacturing Co., Ltd. Information Technology 9.4
SK hynix Inc. Information Technology 7.8
MediaTek Inc Information Technology 6.7
Tencent Holdings Ltd Communication Services 6.1
Samsung Electronics Co., Ltd. Information Technology 4.7
Prosus N.V. Consumer Discretionary 4.1
MercadoLibre, Inc. Consumer Discretionary 4.1
Credicorp Ltd. Financials 3.9
Totvs S.A. Information Technology 3.5
Nu Holdings Ltd. Class A Financials 3.4

FSSA Global Emerging Markets Focus Fund (PCT) | FSSA Investment Managers

Sector and country classifications provided by FactSet and First Sentier Group. The Fund may hold multiple equity securities in the same company, which have been combined to provide the Fund's total position in that company. Index weights, if any, typically include only the main domestic-listed security. The above Fund weightings may or may not include reference to multiple securities.

Allocation percentage is rounded to the nearest one decimal place and the total allocation percentage may not add up to 100%.

Distributions

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DISTRIBUTION DATEDistributions Cents Per Unit (AUD)
Global Emerging Markets
FSSA Global Emerging Markets Focus Fund (PCT)31 Dec 20250.0883
FSSA Global Emerging Markets Focus Fund (PCT)30 Jun 20257.8979

Fund Ratings

Organisation Fund Ratings
Lonsec Recommended
Zenith Highly Recommended
Genium Recommended

What are the risks?

Although all investments carry risk, the level of risk is dependent on the type of investment strategy and the underlying investments. Generally, the higher the potential return of an investment, the greater the risk.

The risks of investing in global emerging markets strategies include:

Company risk

Investment in equities is exposed to risks due to changes in that company or its business environment.

Currency risk

For investments in international assets, which have currency exposure, there is potential for adverse movements in exchange rates to reduce their Australian dollar value.  

Emerging market risk

Emerging markets tend to be more sensitive to economic and political conditions than developed markets. Other factors include greater liquidity risk, restrictions on investment or transfer of assets, failed/delayed settlement and difficulties valuing securities. 

Equities risk

Equity securities are subject to changes in value, and their values may be more volatile than those of other asset classes.

As with any investment, there are no guarantees on the value of the investment or the income generated from it. Investors may get back less than the original amount invested. For a full description of the terms of investment and the risks, please see the Product Disclosure Statement for each fund.

If you are in any doubt as to the suitability of our funds for your investment needs, please seek financial advice.

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Lonsec

The rating published on Apr-25 for FSF8443AU is issued by Lonsec Research Pty Ltd ABN 11 151 658 561 AFSL 421 445 (Lonsec Research). Ratings are general advice only and have been prepared without taking account of investors’ objectives, financial situation or needs. Consider your personal circumstances, read the product disclosure statement and seek independent financial advice before investing. The ratings are not a recommendation to purchase, sell or hold any product. Past performance information is not indicative of future performance. Ratings are subject to change without notice and Lonsec Research assumes no obligation to update. Lonsec Research uses objective criteria and receives a fee from the Fund Manager. Visit lonsec.com.au for ratings information and to access the full report. © 2025 Lonsec. All rights reserved.

Zenith

The Zenith Investment Partners (ABN 27 103 132 672, AFS Licence 226872) (“Zenith”) rating (FSSA Global Emerging Markets Focus Fund (PCT) (FSF8443AU) assigned Oct-25) referred to in this piece is limited to “General Advice” (s766B Corporations Act 2001) for Wholesale clients only. This advice has been prepared without taking into account the objectives, financial situation or needs of any individual, including target markets of financial products, where applicable, and is subject to change at any time without prior notice. It is not a specific recommendation to purchase, sell or hold the relevant product(s). Investors should seek independent financial advice before making an investment decision and should consider the appropriateness of this advice in light of their own objectives, financial situation and needs. Investors should obtain a copy of, and consider the PDS or offer document before making any decision and refer to the full Zenith Product Assessment available on the Zenith website. Past performance is not an indication of future performance. Zenith usually charges the product issuer, fund manager or related party to conduct Product Assessments. Full details regarding Zenith’s methodology, ratings definitions and regulatory compliance are available on our Product Assessments and at Fund Research Regulatory Guidelines.

Genium

The Genium rating (assigned February 2025 for FSF8443AU) presented in this document is issued by Genium Investment Partners Pty Ltd ABN 13 165 099 785, which is a Corporate Authorised Representative of Genium Advisory Services Pty Ltd ABN 94 304 403 582, AFSL 246580. The Rating is limited to “General Advice” (s766B Corporations Act 2001 (Cth)) and has been prepared without taking into account the objectives, financial situation or needs of any individual, including target markets of financial products, where applicable, and is subject to change at any time without notice. Past performance information is for illustrative purposes only and is not indicative of future performance. It is not a recommendation to purchase, sell or hold the relevant product(s). Investors should seek independent financial advice before making an investment decision in relation to this financial product(s). Genium receives a fee from the Fund Manager for researching and rating the product(s). Visit Geniumip.com.au for information regarding Genium’s Ratings methodology.