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Legg Mason IF Martin Currie Asia Pacific A Acc

Ranked 259 out of 428 in - Asia Pacific Excluding Japan over 12 months
All calculations are in USD unless stated

Managed by

Paul Danes

Paul Danes is the co-manager of Martin Currie's Asia portfolios, including the Martin Currie Asia Pacific and Asia Long-Term Unconstrained strategies. He joined Martin Currie in 2007, initially working with its Japan team before joining the Asia team in 2011. In 2012, Paul moved to Singapore as chief executive officer of its Asian subsidiary, Martin Currie Asia Pte Ltd, where, in addition to his portfolio-management duties, he conducts local research for Asian markets. Before joining Martin Currie, Paul held portfolio-management roles with Nordea Investment Funds in Luxembourg and Deutsche Asset Management in London and Tokyo.

Andrew Graham

Andrew Graham is an Investment Director at Martin Currie Investment Management, where he has worked since 2010. He specialises in the Asia region, and runs two Asia Pacific equity funds alongside Paul Danes. The duo place an emphasis on investing in high quality business capable of delivering long term returns and favour a bottom up investment approach. Andrew has held a number of roles within the industry, including positions at Sofaer Global Research as a partner and portfolio manager and at Putnam Investments where he was a senior vice president.

Objective

The objective of this Fund is to achieve long-term capital growth through investment in the Asia Pacific region, excluding Japan. The Fund seeks to achieve its objective by investing directly principally in securities of companies in any economic sector domiciled or having their principal activities in the Asia Pacific region, excluding Japan.

Showing fund performance globally. You can view performance in individual jurisdictions.

Performance

Asia Pacific Excluding Japan over : 31/07/2017 - 31/07/2018

Total Return

Quarterly Performance

to 30/06/2018 Annual Q1 Q2 Q3 Q4
2018 -2.4% -2.3%
2017 39.1% 14.2% 6.6% 5.6% 8.2%
2016 7.0% 2.2% 0.6% 10.7% -6.0%
2015 -6.1% 6.0% -0.9% -14.8% 5.0%
2014 -3.0% -1.1% 5.2% -4.9% -2.1%
2013 -0.8% -0.3% -8.2% 7.8% 0.5%
2012 21.9% 12.7% -6.4% 9.1% 5.9%
2011 -10.4% -0.6% 2.8% -17.7% 6.5%
2010 17.7% -0.2% -7.0% 16.8% 8.5%
2009 48.2% -3.1% 26.3% 15.9% 4.5%
2008 -51.4% -15.7% -3.7% -26.5% -18.5%
2007 41.6% 4.0% 16.6% 17.9% -1.0%
2006 41.4% 11.9% 0.4% 4.1% 21.0%
2005 20.2% 2.4% 3.4% 8.2% 5.0%
2004 19.4% 6.4% -8.6% 6.8% 15.0%
2003 70.5% -3.2% 22.0% 18.5% 21.8%
2002 -9.3% 12.0% -5.4% -15.9% 1.9%
2001 -6.9% -9.8% 6.1% -21.0% 23.3%
2000 -26.9% 6.4% -16.0% -8.9% -10.2%
1999 70.8% 3.5% 40.0% -10.9% 32.4%
1998 -15.0% 6.4% -26.9% -8.9% 20.0%
1997 -31.2% -1.3% 10.1% -13.9% -26.4%
1996 11.6% 8.2% -1.2% -1.5% 5.9%
1995 -1.6% -4.3% 5.1% -2.4% 0.3%
1994 2.4% 10.2% -9.1%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. United Kingdom

Fund Info

  • Launch date26/06/2015
  • Share Class size13Mn
  • Base currencyGBP
  • ISIN GB00BVZ6TS00

Purchase Info

  • Min. initial investment3,000
  • Min. regular additional investment0

Charges

  • Annual management1.00%
  • Initial investment0.00%

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