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FÉRIQUE Asian Equity Fund

The Fund seeks to maximize long-term return by capital appreciation. It mainly invests in all classes and categories of common shares on the Asian markets.

  • Fund code
  • Price per share
  • YTD return
  • Current MER
  • RRSP eligibility
  • Load

Returns

As at

The returns shown below are established after management fees. FÉRIQUE Funds aim to outperform the median return in their category of comparable funds, with a reasonable level of risk and management fees that are among the most competitive in the industry.

  • Daily change

    -0.09$-0.49%
  • Year to date return

    4.2%

  • Inception return

    6.0%

  • Standard deviation (3 years)

    14.4%

Asset allocation

Asset allocation represents how the fund's investments are allocated among different asset classes, economic sectors or regions.1

Top 10 holdings

As at

The top ten investments are those with the highest weighting in the fund, ranked by the percentage of assets they represent.

Name Asset Sector Region % of Asset
Tencent Holdings Ltd
Tencent Holdings Ltd International Equity Technology China 4.7
Taiwan Semiconductor Manufactrg Co Ltd - ADR
Taiwan Semiconductor Manufactrg Co Ltd - ADR International Equity Technology Taiwan 3.2
HDFC Bank Ltd - ADR
HDFC Bank Ltd - ADR International Equity Financial Services India 3.0
ICICI Bank Ltd - ADR
ICICI Bank Ltd - ADR International Equity Financial Services India 2.8
Alibaba Group Holding Ltd
Alibaba Group Holding Ltd International Equity Technology China 2.2
Infosys Ltd - ADR
Infosys Ltd - ADR International Equity Technology India 2.2
Samsung Electronics Co Ltd
Samsung Electronics Co Ltd International Equity Technology Korea (Republic Of) 2.1
Larsen & Toubro Ltd - GDR
Larsen & Toubro Ltd - GDR International Equity Real Estate India 2.0
National Australia Bank Ltd
National Australia Bank Ltd International Equity Financial Services Australia 2.0
China Resources Beer Holdings Co Ltd
China Resources Beer Holdings Co Ltd International Equity Consumer Goods Hong Kong 1.9

Risks and management characteristics

We combine our expertise with that of renowned portfolio managers. We closely supervise them while paying particular attention to risk management.

Fund manager

Gestion FÉRIQUE

Portfolio manager(s)

Gestion FÉRIQUE

Sub-manager

Nomura Asset Management U.S.A, Inc.

Volatility

Mid to high

Investment horizon

Long

Style

  •  Value
  • Core
  • Growth

Sector deviation

  • Minor
  •  Moderate 
  • Wide

Market capitalization

  • Small
  • Mid
  •  Large 

Regulatory documents

The prospectus seeks to protect investors by providing information they need to make informed investment decisions.

By law, the prospectus must provide a complete, accurate and clear presentation of material facts pertaining to the securities that will be issued. In addition to detailed information on each available Fund, it describes:

  • Risks associated with various investments
  • Condition for purchase and redemption
  • Fees
  • Tax consequences
  • Investor rights

The prospectus must be distributed to every FÉRIQUE Fund unitholder. By studying this document, investors are better equipped to judge the quality of each investment vehicle, evaluating the degree of risk and potential return with their own needs and goals in mind.

    The Annual Information Form is incorporated into the prospectus by reference, providing additional information on FÉRIQUE Funds and their operations—otherwise undisclosed in the prospectus. This includes the following information:

    • Fund history
    • Fund investment restrictions
    • Valuation methods for Fund holdings
    • Description of those responsible for Fund activities (including Gestion FÉRIQUE directors and officers)
    • Description of Fund governance provisions
    • Detailed description of Fund investment tax consequences

    Fund Facts is a fact sheet that presents vital information every investor should know before investing in a mutual fund. This document includes, among other things, fund performance, risks and fees related to acquiring and holding securities of the investment fund. In addition to helping you make informed decisions, it also allows you to better compare different fund companies or various funds of the same company.

    Investment Portfolio - March 2022

    Investment Portfolio - September 2022

    A report presenting the top 25 holdings, asset mix and net assets of each Fund. This document is produced individually for each Fund for the quarters ending March 31 and September 30 of each year.

    Annual Management Report 2022

    Interim Management Report 2022

    A commentary and detailed tables on the management, portfolio and return of each FÉRIQUE Fund. Each year, these reports are published on an annual basis, as at December 31, and interim basis, as at June 30.

    2022 Financial Statements (Audited)

    2022 Interim Financial Statements (Unaudited)

    A detailed statement of the net assets, income and expenses, cash flows and investment portfolio for all FÉRIQUE Funds. An "audited" annual version is produced for the 12-month period ending December 31 of each year and approved by our FÉRIQUE Fund auditors. An "unaudited" interim version is produced for the six-month period ending June 30 of each year.

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    Need investment advice?

    To invest in a Fund or find out if it is suitable for your investor profile, contact Services d'Investissement FÉRIQUE, the principal distributor of FÉRIQUE Funds.

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