Ashburton Chindia Equity Fund

A specialised, high conviction approach to each country to tap into the potential with long-term returns in mind.

Why invest in this Fund?

Launched 11 years ago as a blend of two future global leaders, the Ashburton Chindia Equity Fund targets capital growth through investments in China and India.

China and India have stable governments, pushing ahead with reforms which will see each become a major player in world economics for years to come.

We have developed and refined our approach over many years to create a blended approach that reflects our extensive experience in Asia and a deep understanding of the equity market landscape in each economy.

The Fund takes a specialised, high conviction approach to each country to tap into the potential with long-term returns in mind.

China - A purely quantitative approach instils discipline, objectivity and clarity

India – Identify well-managed, consistent companies through fundamental research

Find out more about process here.

How do I invest?

You will also need to review the relevant Fund literature which can be found here.

If you are unsure if this Fund is appropriate for you needs, speak to your financial advisor. Alternatively, if you do not require advice you can invest now.

ISIN JE00B1G6ZF83 Sedol B1G6ZF8 Bloomberg AGCHIEQ JY
Currency US dollar Risk rating High Domicile Jersey
Launch date 01/12/2006 Fund size $33.03 m Dealing Daily
NAV $1.3454 Daily change 0.81% Price date 13/11/2018
Cumulative performance since 2006: 3.1%

*Hover on chart to see values