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FSSA Asian Equity Plus Fund - Class III (Acc) SGD

ISIN IE000Z58FMJ0 FSSA Asian Equity Plus Fund
NAV/Bid price SGD 11.7138 Updated as of 30 Jan 2026

Strategy Overview

The Fund invests primarily (at least 70% of its Net Asset Value) in equity securities or equity-related securities of companies that are listed, or have their registered offices in, or conduct a majority of their economic activity in the Asia Pacific region (excluding Japan). Such companies will be selected on the basis of their potential dividend growth and long term capital appreciation. The Investment Manager will select investments which it believes offer the potential for dividend growth and price appreciation.

Inception Date 09 Oct 2024
SEDOL BT061Q3

Fund Details

Fund information (as at 31/12/2025)

Fund launch date 14 July 2003
Share class launch date 09 October 2024
Fund size S$7,303.1mn
Number of holdings 50
Minimum initial investment S$500,000
Management fee 1.0%p.a.
Initial charge 5.0% (Cash)

Performance

Cumulative performance as at 31 Dec 2025

SHARE CLASS 3MTHS 1YR 3YRS 5YRS SINCE INCEPTION
Class III (Acc) SGD (Ex initial charges) 3.1 12.4 - - 13.1
Class III (Acc) SGD (Inc initial charges) -2.1 6.8 - - 7.4
Benchmark * 3.3 22.1 - - 19.8

SHARE CLASS 1YR 3YRS 5YRS 10YRS SINCE INCEPTION
Class III (Acc) SGD (Ex initial charges) 12.4 - - - 10.5
Class III (Acc) SGD (Inc initial charges) 6.8 - - - 6.0
Benchmark * 22.1 - - - 15.8
3MTHS 1YR 3YRS 5YRS SINCE INCEPTION
Share Class (%) (Ex initial charges) 3.1 12.4 - - 13.1
Share Class (%) (Inc initial charges) -2.1 6.8 - - 7.4
Benchmark (%) 3.3 22.1 - - 19.8

Annualised performance as at 31 Dec 2025

1YR 3YRS 5YRS 10YRS SINCE INCEPTION
Share Class (%) (Ex initial charges) 12.4 - - - 10.5
Share Class (%) (Inc initial charges) 6.8 - - - 6.0
Benchmark (%) 22.1 - - - 15.8

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Historical price

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

Holdings

Top 10 holdings (as at 31/12/2025)

Security name Sector %
Taiwan Semiconductor Manufacturing Co., Ltd. Information Technology 9.9
Tencent Holdings Ltd Communication Services 9.4
Samsung Electronics Co Ltd Pfd Non-Voting Information Technology 5.6
ICICI Bank Limited Financials 4.7
AIA Group Limited Financials 4.5
HDFC Bank Limited Financials 4.2
Netease Inc Communication Services 3.5
Midea Group Co. Ltd. Class A Consumer Discretionary 3.4
MediaTek Inc Information Technology 3.2
PT Bank Central Asia Tbk Financials 2.9

Performance source: Lipper, First Sentier Investors. Single pricing basis with net income invested.

The Fund is a sub fund of Ireland domiciled First Sentier Investors Global Umbrella Fund Plc. First Sentier Investors Global Umbrella Fund Plc, being the responsible person of the Fund, has appointed First Sentier Investors (Singapore) ("FSIS") as its Singapore representative.

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 AC Asia Pacific ex Japan Net Index

Price & performance disclaimers

Fund performance data is sourced from First Sentier Investors. Single pricing basis with net income reinvested. The above performance data is provided for information only and does not contain or constitute investment advice. A copy of the Prospectus is available and may be obtained from the Manager, First Sentier Investors (Singapore), or any of our distributors. Investors should read the Prospectus and consult a financial adviser before deciding to make any investment. In the event of discrepancies between the marketing materials and the Prospectus, the Prospectus shall prevail. The value of the Fund and the income from them, if any, may fall or rise. Past performance of the Fund or the Manager and any economic and market trends or forecast, is not indicative of the future or likely performance of the Fund or the Manager. Neither the Manager, nor any of its associates, nor any director, or employee accepts any liability for any loss arising directly or indirectly from any use of this information. Units are not available to U.S. persons.