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Fidelity Funds - Asian Hi Yield A-ACC-USD

Ranked 6 out of 36 in - Asia Pacific Hard Currency over 12 months
All calculations are in USD unless stated

Managed by

Bryan Collins

Bryan Collins is a portfolio manager in fixed income at Fidelity Worldwide Investment in Hong Kong. He joined the firm in 2006 as a trader and prior to this, he worked at Credit Suisse Asset Management in Sydney between 2000 and 2006. Bryan uses a long-only investment style across the various mandates he runs. He is a CFA Charterholder and gained his MComm from the University of New South Wales in Sydney.

Objective

The fund aims to provide high current income and capital growth. The fund invests 70% of its assets in high yielding sub investment grade bonds of issuers or in high-yielding bonds of sub investment grade issuers, all having their main business activities in Asia. The fund may invest its net assets directly in onshore China bonds listed or traded on any eligible market in China. The fund can invest in bonds issued by governments, companies and other bodies.

Showing fund performance in Singapore View performance globally

Performance

Asia Pacific Hard Currency over : 31/05/2017 - 31/05/2018
  • Rank 6/36 Total Return
  • Rank 21/36 Standard Deviation
  • Rank 14/36 Max Drawdown
Fund Name Currency Return
4 Fullerton Lux Funds-Asian Sh Dur Bonds I USD USD

0.9%

5 JPMorgan Asian Total Return Bond (mth) - USD USD

0.4%

6 Fidelity Funds - Asian Hi Yield A-ACC-USD USD

0.4%

7 Oclaner Fds Asian Bond IA USD Cap

Currency exposure is hedged

Currency exposure is hedged

USD

0.3%

8 Manulife SGD Income C QDis USD Hedged

Currency exposure is hedged

Currency exposure is hedged

USD

0.2%

Total Return

Quarterly Performance

to 31/03/2018 Annual Q1 Q2 Q3 Q4
2018 -0.5%
2017 7.0% 3.4% 0.8% 1.8% 0.8%
2016 13.6% 3.3% 5.0% 4.3% 0.4%
2015 1.5% 1.8% 2.0% -4.5% 2.3%
2014 3.5% 0.7% 3.6% 0.1% -0.9%
2013 2.7% 1.3% -3.6% 1.4% 3.8%
2012 20.1% 8.1% 1.5% 4.6% 4.7%
2011 -7.5% 1.1% -0.7% -15.4% 9.0%
2010 19.0% 8.9% -1.7% 7.9% 3.1%
2009 73.8% 11.5% 32.2% 16.5% 1.2%
2008 -40.7% -5.1% 1.7% -11.5% -30.7%
2007 -0.6% 0.0%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. Austria
  2. Bahrain
  3. Belgium
  4. Chile
  5. Czech Republic
  6. Denmark
  7. Finland
  8. France
  9. Germany
  10. Guernsey
  11. Hong Kong
  12. Hungary
  13. Iceland
  14. Ireland
  15. Italy
  16. Jersey
  17. Korea
  18. Luxembourg
  19. Macau
  20. Malta
  21. Netherlands
  22. Norway
  23. Oman
  24. Peru
  25. Poland
  26. Portugal
  27. Qatar
  28. Singapore
  29. Slovakia
  30. Spain
  31. Sweden
  32. Switzerland
  33. Taiwan
  34. United Arab Emirates
  35. United Kingdom

Fund Info

  • Launch date02/04/2007
  • Share Class size499Mn
  • Base currencyUSD
  • ISIN LU0286668453

Purchase Info

  • Min. initial investment2,500
  • Min. regular additional investment0

Charges

  • Annual management1.00%
  • Initial investment3.5

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).