
Portfolio breakdown is approximate. The fund may also include exposures to covered calls and long puts (portfolio hedging), depending on overall composition.
Portfolio breakdown
AS AT JAN 22, 2025
Geographic breakdown
AS AT JAN 22, 2025
Sector breakdown
AS AT JAN 22, 2025
Holding BreakdownAS AT JAN 22, 2025
SECTOR | ISSUING BANK | THEME | GEOGRAPHY | MATURITY | PORTFOLIO WEIGHT | # OF POSITIONS |
---|---|---|---|---|---|---|
Equity Index | India | 9.92% | ||||
Equity Index | India | 5.67% | ||||
Information Technology | Taiwan | 3.95% | ||||
Financials | Hong Kong | 3.93% | ||||
Consumer Discretionary | China | 3.33% | ||||
Information Technology | Taiwan | 2.91% | ||||
Financials | Hong Kong | 2.70% | ||||
Financials | Hong Kong | 2.63% | ||||
Financials | Hong Kong | 2.59% | ||||
Energy | Brazil | 2.44% |