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Macquarie IPO China Concentrated Core Fund (USD) A2
Last NAV
USD
 
9.61
(Last Update : 2019/04/26)
1-Month return
 
0.00%
Fund House Macquarie Funds Group
Fund Type Equity Funds
Fund Size
 
7.40M
Sector IPO
Geographic Allocation China
 
Fund Investment Objective & Strategy
The Fund invests in listed equities with a focus on PRC-related IPO securities principally those listed in Hong Kong, US and Singapore. The manager constructs an investmentportfolio consisting of newly listed securities that meet the fund's quantitative andqualitative criteria based on independent research and investment techniques.
 
 
Key Risks
Investment Risk: Investment involves risk which may result in loss of part or the entire amount of your investment. IPO Securities Risk: The Sub-Fund may invest in IPO Securities and the price performance of these securities may be difficult to assess due to lack of trading history. Emerging Markets Risk: The Sub-Fund aims to invest in emerging markets, including the PRC, which are subject to higher risk of economic, political and regulatory changes. These changes may pose additional risk to the Sub-Fund and securities linked to these markets are subject to higher volatility and liquidity risks than funds investing in developed markets. Currency Risk: Certain investments of the Sub-Fund may be denominated in currencies other than the base currency of the Sub-Fund. The value of those investments (when converted to the base currency of the Sub-Fund) may fluctuate significantly due to changes in the exchange rates. Risk of Conflict of Interest: The Manager, the Sub-Manager and the Trustee (and their related parties) may from time to time act for themselves or their clients in such a manner that gives rise to potential conflicts of interest with the Sub-Fund. In particular, they may act on behalf of other funds which use investment strategies that are identical or similar to, or in competition with, the Sub-Fund. Performance Fee Risk: The method of calculating performance fee gives rise to the risk that a unitholder redeeming units may still incur a performance fee in respect of the units, even though the redeeming unitholder has suffered a loss in capital over the term of his or her investment.
 
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