EN DE
FairHorizont Rot
R20-A

Morgan Stanley Investment Funds - Asia Opportunity Fund

Asia ex Japan large cap-biased growth-focused equities with higher risk/return approach. Active bottom-up concentrated strategy.

Über den Fonds

Daten zum

Morgan Stanley Investment Management (MSIM) is the asset management arm of US investment bank Morgan Stanley. MSIM manages over US$1.9tn of assets globally through long-only, alternatives, and liquidity fund products.

The Morgan Stanley Asia Opportunity Fund is an actively managed fund that seeks long-term capital appreciation. The fund emphasises a bottom-up stock selection process, by investing in high quality established and emerging companies located in Asia excluding Japan, that the investment team believes are undervalued at the time of purchase and have sustainable competitive advantages that can be monetised through growth. ESG considerations are integrated in the investment process. The fund runs a highly concentrated portfolio of >30 holdings and can have high concentration in single sectors, resulting in potentially higher volatility than broad equity markets.

Wertentwicklung

Preisentwicklung – Maximaler Zeitraum

Das FairHorizont-Konzept

Anlagezeithorizont in Jahren

0 - 22 - 44 - 7 7 - 1010 - 1515+
Erwartete Langfristrendite
2 - 4% p.a.
Erwartete Volatilität
3 - 5% p.a.

Bausteinrenditen

Morgan Stanley Investment Funds - Asia Opportunity Fund

Ann. Rendite (3 J.):
14.63%
Ann. Rendite (5 J.):
-3.38%
Ann. Rendite (10 J.):
10.62%
Ann. Standardabweichung (5 J.):
24.93%

This fund represents active exposure to Asia ex Japan large caps-biased growth-focused equities.

Benchmark-Renditen

Amundi MSCI AC Asia Ex Japan UCITS ETF

Ann. Rendite (3 J.):
25.90%
Ann. Rendite (5 J.):
7.31%
Ann. Rendite (10 J.):
Ann. Standardabweichung (5 J.):
19.62%

FairHorizont-Benchmark-Renditen

Dimensional Funds PLC - World Equity Fund

Ann. Rendite (3 J.):
20.42%
Ann. Rendite (5 J.):
9.89%
Ann. Rendite (10 J.):
Ann. Standardabweichung (5 J.):
15.01%
Link zum Fonds-FairSheet

The Dimensional World Equity Fund is our FAIRHORIZON Red reference benchmark solution that has primarily global developed equities for long-term global equity-like returns and volatility.

MIT LEIDENSCHAFT FÜR INVESTMENTS FAIRSHEET  Morgan Stanley Investment Funds - Asia Opportunity Fund  Seite 1/2

Warum wir diesen Fonds bevorzugen

Relevance of strategy

This fund represents active exposure to Asia ex Japan large caps-biased growth-focused equities.

Differentiated portfolio

The fund focuses on a bottom-up investment approach to look for undervalued companies with sustainable competitive advantages that can be monetised through growth.

Historischer maximaler Drawdown & Erholungszeit

Max. Drawdown (seit Auflage)
-61.20%
Erholungsperiode
— (noch im Drawdown)

Diversifizierung

Top 10 Positionen

  • Taiwan Semiconductor Manufactu9.85%
  • Trip.com Group Ltd - Depositar7.33%
  • Coupang Inc Class A Common Sto5.80%
  • ICICI Bank Ltd - Depositary Re5.57%
  • Baidu Inc - Depositary Receipt4.79%
  • Tencent Holdings Ltd4.48%
  • Meituan Class B4.34%
  • HDFC Bank Ltd4.08%
  • Eternal Ltd3.96%
  • Kweichow Moutai Co Ltd3.84%

Sektoren

  • Communications36.47%
  • Financials18.64%
  • Consumer Discretionary18.48%
  • Technology10.67%
  • Real Estate4.10%
  • Cash3.85%
  • Consumer Staples3.84%
  • Industrials3.47%
  • Others0.48%

Geographie

  • China34.16%
  • India25.37%
  • Taiwan10.67%
  • Singapore10.34%
  • U.S.A.6.74%
  • South Korea4.83%
  • Cash3.85%
  • Ireland2.55%
  • Hong Kong1.48%

Häufig gestellte Fragen

What is the Morgan Stanley Investment Funds - Asia Opportunity Fund?
The Morgan Stanley Investment Funds - Asia Opportunity Fund is a actively managed fund in the Asia ex Japan Equities - Core asset class, managed by Morgan Stanley IM. Asia ex Japan large cap-biased growth-focused equities with higher risk/return approach. Active bottom-up concentrated strategy.
What is the Morgan Stanley Investment Funds - Asia Opportunity Fund's FairHorizon classification?
Das Family Office classifies this fund as FairHorizon Red, meaning it is suitable for investors with a 15+ years investment horizon. long-horizon, high-conviction equity allocation
What is the total expense ratio (TER) of the Morgan Stanley Investment Funds - Asia Opportunity Fund?
The Morgan Stanley Investment Funds - Asia Opportunity Fund has a total expense ratio of 0.99% per annum. The maximum recommended portfolio share is 15%.
What is the ISIN of the Morgan Stanley Investment Funds - Asia Opportunity Fund?
The ISIN of the Morgan Stanley Investment Funds - Asia Opportunity Fund share class tracked by Das Family Office is LU1378878869.
What are the historical returns of the Morgan Stanley Investment Funds - Asia Opportunity Fund?
As of the most recent month-end, the Morgan Stanley Investment Funds - Asia Opportunity Fund has delivered 3-year annualised total return of 14.63%, 5-year annualised total return of -3.38%, 10-year annualised total return of 10.62%. Past performance is not indicative of future results.
Is the Morgan Stanley Investment Funds - Asia Opportunity Fund accumulating or distributing?
The tracked share class (I Acc USD) is Accumulating — income is automatically reinvested into the fund.
What is the SFDR sustainability classification of the Morgan Stanley Investment Funds - Asia Opportunity Fund?
The Morgan Stanley Investment Funds - Asia Opportunity Fund is classified as Article 8 under the EU Sustainable Finance Disclosure Regulation (SFDR).
When was the Morgan Stanley Investment Funds - Asia Opportunity Fund launched?
The Morgan Stanley Investment Funds - Asia Opportunity Fund was incepted on 2016-03-31.