Important Note Click to maximise
Important Note I have read and agree, click to minimise
  • The Fund invests primarily in a diversified portfolio of large and mid-capitalisation equity securities or equity-related securities of companies whose activities predominantly take place in emerging markets and are listed, traded or dealt in on regulated markets worldwide. 
  • The Fund invests in emerging markets which may have increased risks than developed markets including liquidity risk, currency risk/control, political and economic uncertainties, high degree of volatility, settlement risk and custody risk. Investing in mid-capitalisation companies securities may have lower liquidity and their prices are more volatile to adverse economic developments.
  • The Fund's investments may be concentrated in certain countries or regions, single sector which may have higher volatility or greater loss of capital than more diversified portfolios.
  • The Fund may expose to China market risk including repatriation risk, uncertainties to PRC taxation policies and risks associated with StockConnects, QFI, the ChiNext market and/or the STAR board . The Fund may also expose to RMB currency and conversion risk.
  • The Fund may use FDIs for hedging and efficient portfolio management purposes, which may subject the Fund to additional liquidity, valuation, counterparty and over the counter transaction risks.
  • It is possible that a part or entire value of your investment could be lost. You should not base your investment decision solely on this document. Please read the offering document including risk factors for details
emerging-markets-hero.jpg

FSSA Global Emerging Markets Focus Fund - Class I (Acc) USD

ISIN IE00BKMDQ976 FSSA Global Emerging Markets Focus Fund
NAV/Bid price USD 13.1744 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 large and mid-capitalisation equity securities or equity-related securities of companies whose activities predominantly take place in emerging markets and are listed, traded or dealt in on regulated markets worldwide.

Inception Date 03 Jan 2020
SEDOL BKMDQ97

Fund Details

Fund information (as at 31/10/2025)

Fund launch date 23 November 2018
Share class launch date 03 January 2020
Total fund size US$50.8mn
Number of holdings 38
Minimum initial investment US$1,000
Minimum subsequent investment US$500
Management fee 1.4%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 (Acc) USD 8.9 24.3 22.7 68.0 53.2 34.9
Benchmark * 13.1 32.9 27.9 77.6 43.3 43.3

SHARE CLASS 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Class I (Acc) USD 9.3 4.9 -9.8 -3.2 - - - - - -
Benchmark * 7.5 9.8 -20.1 -2.5 - - - - - -
3MTHS YTD 1YR 3YRS 5YRS SINCE INCEPTION
Share Class (%) 8.9 24.3 22.7 68.0 53.2 34.9
Benchmark (%) 13.1 32.9 27.9 77.6 43.3 43.3

Calendar year performance (%) as at 31 Oct 2025

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Share Class (%) 9.3 4.9 -9.8 -3.2 - - - - - -
Benchmark (%) 7.5 9.8 -20.1 -2.5 - - - - - -

Price

View period from

to

Chart

There was insufficient data available to display the price chart.

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 %
Taiwan Semiconductor Manufacturing Co., Ltd. Information Technology 9.1
Tencent Holdings Ltd Communication Services 8.1
Prosus N.V. Consumer Discretionary 6.9
SK hynix Inc. Information Technology 4.9
Totvs S.A. Information Technology 3.8
MercadoLibre, Inc. Consumer Discretionary 3.6
MediaTek Inc Information Technology 3.3
Nu Holdings Ltd. Class A Financials 3.2
ICICI Lombard General Insurance Co. Ltd. Financials 3.1
PDD Holdings Inc. Sponsored ADR Class A Consumer Discretionary 3.1

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

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 Emerging Markets 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.