The fund invests in the Asian equity markets, excluding investments in Japan. Using in-depth analysis, the portfolio managers aim to find equities with growth potential.
Management fee: 1.50%
Fund manager: Nordea Investment Funds S.A.
The Asian market covers a large region that includes both developed and emerging economies. The most important among these are China, India, Japan, South Korea, Taiwan, Singapore and Hong Kong. The Asian market is characterised by rapid economic growth, a large population, a growing middle class and technological advancement. The region is the most populous in the world, and its significance in the global economy is continuously increasing.
The Asian market can offer you growth opportunities thanks to a young population, new technologies and a growing middle class. When investing in Asia, it’s also important to remember the risks. These include tensions between countries, unpredictable regulation, especially in China, and challenges related to the transparency of corporate operations. Well-known Asian companies include the Taiwanese TSMC, South Korean Samsung and Chinese Alibaba.
If you are ready to accept greater price fluctuations and are looking for long-term growth opportunities, the Asian market could fit your portfolio well. But to build wider diversification, it’s wise to consider other regions as well.
Learn more about geographical diversification and the different market areas.
The fund invests in the Asian equity markets, excluding investments in Japan. Using in-depth analysis, the portfolio managers aim to find equities with growth potential.
Management fee: 1.50%
Fund manager: Nordea Investment Funds S.A.
The fund is an equity fund that invests its assets mainly in companies operating in China. The return potential and risks of the fund’s investments are often higher than those of investments in the developed markets.
Management fee: 1.85%
Fund manager: Nordea Funds Ltd
The fund invests in the Indian equity market, aiming for a high return potential, which comes with significant fluctuations in value. Its benchmark is the MSCI India 10/40 Net Total Return Index.
Management fee: 1.85%
Fund manager: Nordea Funds Ltd
The information provided on this website is intended as general product information only and does not constitute investment advice or recommendations. The return on your investment may fluctuate, and you may lose some or all of your capital. Past performance is not a guarantee of future results. We recommend that you read the fund’s Key Investor Information Document before making any investment decisions. This page contains marketing content.