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Schroder ISF-Hong Kong Dollar Bond (HKD) A Acc
Last NAV
HKD
 
22.09
(Last Update : 2024/11/13)
1-Month return
 
-0.93%
Fund House Schroder Investment Management (Hong Kong) Limited
Fund Type Fixed Income Funds
Fund Size
 
4.21B
Sector General
Geographic Allocation Hong Kong
Cumulative Performance
Period
Range
Return
Fund Avg
1-Week
22.09 - 22.18
-0.31%
+0.14%
1-Month
22.09 - 22.36
-0.93%
-0.50%
3-Month
22.09 - 22.64
-1.06%
-0.04%
1-Year
20.84 - 22.64
+6.02%
+6.18%
3-Year
20.02 - 22.64
-0.23%
-6.99%
Since Launch
0.00 - 22.64
N/A
+85.82%
Volatility
3 year annualised standard deviation
3.25%
1M | 3M | 6M | Adv. Chart 
 
 | 
 
Color - 
Calendar Year Performance
Returns (%)
2023
2022
2021
2020
2019
HKD
+5.70%
-7.50%
-0.60%
+2.70%
+2.50%
Portfolio Composition
By Market
 Hong Kong (38.50%)
 United States (28.60%)
 China (8.50%)
 United Kingdom (7.30%)
 Other (5.00%)
 Indonesia (4.50%)
 Japan (3.20%)
 Australia (2.80%)
 Ireland (1.80%)
 European Union (1.60%)
 Singapore (1.20%)
 South Korea (1.10%)
 Liquid Assets (-4.10%)
By Sector
 Corporates (38.30%)
 Treasuries (32.70%)
 MBS (17.00%)
 ABS (12.60%)
 Government related (11.80%)
 CMBS (1.10%)
 Non Local Govt Bond-USD (0.50%)
 Other (0.30%)
 Unit Trusts (0.30%)
 Cash And Cash Equivalent (-5.00%)
 Derivatives (-9.60%)
By Credit rating
 A (37.50%)
 AA (30.10%)
 BBB (19.10%)
 Others (9.80%)
 Not rated (3.50%)
Top Holdings
Asset
Attribute
Proportion
 
HONG KONG TREASURY BILL 0.0000 06/11/2024 SERIES 91
5.40%
TREASURY BILL 0.0000 19/11/2024 SERIES GOVT
4.40%
AIRPORT AUTHORITY HK 2.3000 24/04/2030 SERIES EMTN
2.90%
INDONESIA (REPUBLIC OF) FR103 6.7500 15/07/2035 SERIES 103
2.20%
HSBC HOLDINGS PLC 1.5500 03/06/2027
2.20%
AIRPORT AUTHORITY HK 2.3300 29/04/2030 SERIES EMTN
1.90%
HONG KONG MORTGAGE CORP LTD 1.5100 04/02/2025 SERIES EMTn
1.70%
HLP FINANCE LIMITED 2.8800 27/02/2025 SERIES EMTN REGS
1.60%
TREASURY BILL 0.0000 12/11/2024 SERIES GOVT
1.60%
WHARF REIC FINANCE BVI 1.5000 02/03/2026 SERIES EMTN
1.60%
Similar Funds (By Fund Type)
Top 5 Advancers
(sorted by 1-Month Return)
Fund Name
Last NAV
1M Return
3M Return
BlackRock Fixed Income Global Opportunities Fund (EUR) A2 15.33
+2.61%
+4.57%
BlackRock Fixed Income Global Opportunities Fund (EUR) C2 12.29
+2.50%
+4.24%
BlackRock Fixed Income Global Opportunities Fund (EUR) A1 9.51
+2.48%
+3.71%
BlackRock Fixed Income Global Opportunities Fund (EUR) A3 9.51
+2.37%
+3.71%
BlackRock Fixed Income Global Opportunities Fund (EUR) C1 9.50
+2.37%
+3.60%
Top 5 Decliners
(sorted by 1-Month Return)
Fund Name
Last NAV
1M Return
3M Return
BlackRock Emerging Markets Local Currency Bond Fund (USD) A2 23.70
-4.47%
-3.93%
Barings Global Bond Fund (USD) S-Inc 20.32
-3.92%
-5.00%
Templeton Emerging Markets Bond Fund (USD) A (Qdis) 6.76
-3.01%
-3.57%
JPM Global Convertibles (USD) 13.70
-2.63%
-3.93%
Amundi Funds Bond Global - A2 (USD) 25.47
-2.56%
-3.49%
Fund - Browser History
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