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FSSA Indian Subcontinent Fund - Class I (H Dist) USD

ISIN IE00B0FGLM12 FSSA Indian Subcontinent Fund
NAV/Bid price USD 173.5228 Updated as of 10 Dec 2025

Strategy Overview

The Fund aims to achieve long term capital appreciation and invests primarily in a diversified portfolio of equity securities and equity related securities issued by companies of the Indian subcontinent. Countries of the Indian subcontinent include India, Pakistan, Sri Lanka and Bangladesh. The Fund concentrates on securities that are listed, traded or dealt in on regulated markets in the Indian subcontinent and offshore instruments issued by companies established or operating or have significant interests in the Indian subcontinent and listed on other regulated markets.

Inception Date 12 Oct 2005
SEDOL B0FGLM1

Fund Details

Fund information (as at 31/10/2025)

Fund launch date 07 February 1994
Share class launch date 12 October 2005
Total fund size US$479.5mn
Number of holdings 39
Minimum initial investment US$1,000
Minimum subsequent investment US$500
Management fee 1.75%p.a.
Initial charge 5.0%

Performance

Cumulative performance (%) as at 31 Oct 2025

SHARE CLASS 3MTHS YTD 1YR 3YRS 5YRS SINCE INCEPTION
Class I (H Dist) USD -1.7 -4.5 -7.6 40.0 84.7 935.0
Benchmark * 1.6 2.2 -1.2 36.6 91.0 457.9

SHARE CLASS 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Class I (H Dist) USD 15.3 27.3 -7.2 21.4 8.8 3.6 -7.9 40.1 1.5 5.0
Benchmark * 11.2 20.8 -8.0 26.2 15.6 7.6 -7.3 38.8 -1.4 -6.1
3MTHS YTD 1YR 3YRS 5YRS SINCE INCEPTION
Share Class (%) -1.7 -4.5 -7.6 40.0 84.7 935.0
Benchmark (%) 1.6 2.2 -1.2 36.6 91.0 457.9

Calendar year performance (%) as at 31 Oct 2025

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Share Class (%) 15.3 27.3 -7.2 21.4 8.8 3.6 -7.9 40.1 1.5 5.0
Benchmark (%) 11.2 20.8 -8.0 26.2 15.6 7.6 -7.3 38.8 -1.4 -6.1

Price

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Historical price

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

Holdings

Top 10 holdings (as at 31/10/2025)

Stock name Sector %
HDFC Bank INR1 Financials 8.4
Kotak Mahindra Bank Limited Financials 7.5
ICICI Bank Limited Financials 4.5
ICICI Lombard General Insurance Co. Ltd. Financials 4.1
HCL Technologies Limited Information Technology 4.0
Bharti Airtel Limited Communication Services 3.8
Bosch Limited Consumer Discretionary 3.5
KEI Industries Limited Industrials 3.3
Maruti Suzuki India Limited Consumer Discretionary 3.3
Oberoi Realty Limited Real Estate 3.1

Dividends

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SHARE CLASSCURRENCYDISTRIBUTION FREQUENCY #EX-DIVIDEND DATEEX-DIVIDEND PRICEDIVIDEND PAYOUT/SHAREDIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTHDIVIDEND PAID OUT OF CAPITALANNUALISED DIVIDEND YIELD (%)^
India
FSSA Indian Subcontinent FundClass I (H Dist)USDHalf-yearly07 Aug 2025179.4523---0.00
FSSA Indian Subcontinent FundClass I (H Dist)USDHalf-yearly06 Feb 2025176.2260---0.00
FSSA Indian Subcontinent FundClass I (H Dist)USDHalf-yearly08 Aug 2024192.2670---0.00
FSSA Indian Subcontinent FundClass I (H Dist)USDHalf-yearly08 Feb 2024165.8270---0.00

India

FSSA Indian Subcontinent Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
07 Aug 2025
EX-DIVIDEND PRICE
179.4523
DIVIDEND PAYOUT/SHARE
-
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
-
DIVIDEND PAID OUT OF CAPITAL
-
ANNUALISED DIVIDEND YIELD (%)^
0.00

FSSA Indian Subcontinent Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
06 Feb 2025
EX-DIVIDEND PRICE
176.2260
DIVIDEND PAYOUT/SHARE
-
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
-
DIVIDEND PAID OUT OF CAPITAL
-
ANNUALISED DIVIDEND YIELD (%)^
0.00

FSSA Indian Subcontinent Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Aug 2024
EX-DIVIDEND PRICE
192.2670
DIVIDEND PAYOUT/SHARE
-
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
-
DIVIDEND PAID OUT OF CAPITAL
-
ANNUALISED DIVIDEND YIELD (%)^
0.00

FSSA Indian Subcontinent Fund

SHARE CLASS
Class I (H Dist)
CURRENCY
USD
DISTRIBUTION FREQUENCY #
Half-yearly
EX-DIVIDEND DATE
08 Feb 2024
EX-DIVIDEND PRICE
165.8270
DIVIDEND PAYOUT/SHARE
-
DIVIDEND PAID OUT OF NET DISTRIBUTABLE INCOME FOR THE MONTH
-
DIVIDEND PAID OUT OF CAPITAL
-
ANNUALISED DIVIDEND YIELD (%)^
0.00

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

Gross of tax benchmark performance is shown before 1 July 2016 and net of tax benchmark performance is shown after the aforementioned date.

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.

* MSCI India Net Index

Price & performance disclaimers

This Fund is a sub fund of Ireland domiciled First Sentier Investors Global Umbrella Fund Plc.

Price / Performance source: Lipper, Nav-Nav (with dividend reinvested where applicable).

Past performance is not a guide to future performance. Performance data is calculated on a net basis by deducting fees incurred at fund level (e.g. the management and administration fee) and other costs charged to the fund (e.g. transaction and custody costs), save that it does not take account of initial charges or switching fees (if any).

All prices are for indication only. For detail, please refer to the Fund’s factsheet for further details including investment objective & strategy, asset allocation, top 10 holdings, comparison with benchmark (if any) and disclosure.

Reference to specific securities (if any) is included for the purpose of illustration only and should not be construed as a recommendation to buy or sell the same. All securities mentioned herein may or may not form part of the holdings of First Sentier Group's portfolios at a certain point in time, and the holdings may change over time.

Dividend disclaimers

 

# Dividends are not guaranteed and may be paid out of capital.  The Fund(s) aim(s) to provide dividend on a monthly, half-yearly, quarterly basis depending on the respective share class.

Annualised Dividend Yield (%) = (Dividend per Share/ ex Dividend date NAV per unit x Frequency) x 100

The annualised dividend yield is calculated based on the latest dividend distribution. For Frequency, if distribution frequency is monthly = 12, quarterly = 4, semi annual = 2.

For newly launched share class(es), the first annualized dividend yield is calculated on a pro-rata basis, taking into account the number of days since inception. (Dividend per Share/ ex Dividend date NAV per unit x total number of days in a year / number of days since inception) x 100

Annualized dividend yield is calculated based on the latest dividend distribution, and may be higher or lower than the actual annual dividend yield. A positive distribution yield does not imply a positive return. Dividend is not guaranteed. Historical yield is not an indicator of future dividend payout.  
 

Dividend source: First Sentier Group.

Warning: Investors should not make any investment decision solely based on information contained in the table above. You should read the relevant offering document (including the key facts statement) of the fund for further details including the risk factors. 

“Net Distributable Income” generally means the investment income (e.g. dividend income) net of fees and expenses attributable to the relevant share class and may also include net realised gains (if any) based on unaudited financial accounts. Net Distributable Income which has not been paid as dividends can be carried forward within the same financial year".

Payment of dividends out of capital, or payment of fees and expenses out of capital to increase distributable income, amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Any distribution involving payment of dividends effectively out of the Fund’s capital may result in an immediate decrease of the Net Asset Value per share.