Overview

Actively managed fund that invests in shares of Asian companies (ex Japan).

The fund is diversified across various countries and sectors.

Investment decisions are based on a disciplined investment philosophy and fundamental research.

Benefits

Easy access to the Asian/Pacific equity markets (excluding Japan).

The fund draws on the knowledge of proven investment specialists working on location in Asia.

The fund managers can also tap into the knowledge and experience of a network of equity analysts around the globe.

Investors benefit from a global investment platform of 麻豆社 Asset Management.

Risks

麻豆社 Country & Regional Funds invest in equities and may therefore be subject to high fluctuations in value. As these 麻豆社 funds pursue an active management style, each fund's performance can deviate from that of its reference index. All investments are subject to market fluctuations. Every fund has specific risks, which can significantly increase under unusual market conditions. The fund can use derivatives, which may result in additional risks (particularly counterparty risk).

Features

Product category
麻豆社 Equity Funds
麻豆社 Country & Regional Funds
Product domicile
Switzerland
Portfolio management
麻豆社 Asset Management (Singapore) Ltd
Fund management
麻豆社 Fund Management (Switzerland) AG
Custodian bank
麻豆社 Switzerland AG, Zurich
Day of inception
December 7, 1988
Currency of account
USD
Close of financial year
October 31
SFDR Classification
n.a.
Issue / redemption
daily
Next distribution
December
Maturity
Open end
Ongoing costs p.a.
1.85% p.a.
Management fee
1.44% p.a.
Total expense ratio (TER)
1.82% p.a.
Swing pricing
yes
Minimum investment
n.a.
Reference Index / Benchmark
MSCI AC Asia ex Japan (net div. reinv.)
Securities no.
278870
ISIN
CH0002788708
Bloomberg Ticker
麻豆社ASPI SW
Telekurs Id
EFAS

Performance and Prices

Percentage growth

as of May 28, 2026
Cumulative
USD(%) CHF(%) EUR(%)
YTD 30.43 29.55 31.76
1M
3M
6M
1Y
2Y 35.24 18.23 19.24
3Y
5Y 29.39 13.12 35.57
ø p.a.5Y 5.29 2.50 6.28

Current data

Net asset value 28.05.2026 USD 2,580.82
High - last 12 months 27.05.2026 USD 2,616.82
Low - last 12 months 02.06.2025 USD 1,578.70
Last distribution 20.01.2026 USD 11.80
Assets of the unit class in mn 28.05.2026 USD 51.06
Total product assets in mn 28.05.2026 USD 106.10
Statistical data
Date
2 years
5 years
Total risk reference index / benchmark 30.04.2026 19.25% 19.50%
Sharpe Ratio 30.04.2026 1.08 -0.03
Risk Free Rate 30.04.2026 4.48% 3.57%

Structures

By the 10 largest equity positions (in %, as of April 30, 2026)

 
 
Taiwan Semiconductor Manufacturing Co Ltd 9.60
Samsung Electronics Co Ltd 9.19
SK hynix Inc 6.45
MediaTek Inc 5.12
Tencent Holdings Ltd 4.26
ASE Technology Holding Co Ltd 4.06
Hon Hai Precision Industry Co Ltd 3.42
Ping An Insurance Group Co of China Ltd 3.25
Alibaba Group Holding Ltd 3.24
Samsung Fire & Marine Insurance Co Ltd 2.84

Fees

Ongoing costs p.a.
1.85%
Flat fee
1.80%
Management fee p.a.
1.44%
Max. redemption commission
0.00%
Max. issuing commission
5.00%
Distribution fee
(see info)

Distributions

From
01-Nov-2020
To
01-Nov-2021
Date of distribution
Pay date
Cps no.
Currency
Tax domicile CH gross amount
Tax domicile CH net amount
Tax domicile not CH gross amount
Tax domicile not CH net amount
14.01.2026 19.01.2026 36 USD 11.80 7.67 11.80 11.80 14.01.2026 20.01.2026 36 USD 11.80 7.67 11.80 11.80

Sales Authorisations

Market
Sales authorisations status
Switzerland
Registered

Literature

Brochures
Document type
Document Language
Fact Sheet
Swiss Climate Scores Report
ASIP ESG Report
Fact Sheet - 麻豆社 Equity Funds
Fact Sheet - 麻豆社 Country & Regional Funds
Agreement / Prospectus
Document type
Document Language
Prospectus
Key Information Document
Past performance
Previous performance scenario
Annual and semi-annual report (accounting on October 31)
Document type
Document Language
Annual report
Semi-annual report
General information
Document type
Document Language
Tax list
Please wait for the requested content to load. If there is no response after several minutes, please reload the page or try again later.