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Cumulative Performance
Calendar Year Performance
Factual Information
Name
Last
NAV
Valuation
Date
Sharpe
Ratio
Cumulative Performance
Annual Volatility
(3 Years) (%)
Compare
1 M
3 M
6 M
YTD
1 Yr
3 Yr
5 Yr
Launch
BlackRock World Healthscience Fund (USD) A2 64.14 2025/06/02 N/A -4.89% -11.34% -8.49% -3.30% -8.25% +4.62% +20.22% +541.40% 10.52%
JPMorgan Thailand Fund (USD) 154.15 2025/06/02 1.50 -4.25% +1.78% -13.94% -10.42% +3.51% -13.79% -4.98% N/A 15.75%
Franklin Biotechnology Discovery Fund (USD) A(acc) 35.99 2025/06/02 N/A -3.90% -7.46% -14.59% -8.31% -11.38% +23.55% -5.39% +259.90% 14.93%
AllianceBernstein - International Health Care Portfolio (USD) A 528.54 2025/06/02 N/A -3.19% -8.04% -9.02% -2.19% -9.60% +8.63% +29.15% +747.70% 10.24%
Fidelity Funds – Sustainable Global Health Care Fund A-EUR 59.47 2025/06/02 0.75 -2.87% -16.46% -16.86% -12.47% -15.20% -5.84% +15.01% +197.35% 10.46%
BlackRock US Government Mortgage Fund (USD) A2 18.56 2025/06/02 2.29 -1.75% -1.64% -0.80% +0.38% +3.28% -1.33% -10.64% N/A 6.66%
Schroder ISF-Global Inflation Linked Bond Fund (EUR) A Acc 27.78 2025/06/02 1.26 -1.67% -1.89% -2.85% -0.35% -1.16% -12.85% -17.06% +38.91% 6.60%
Schroder ISF-Global Cities (USD) A Acc 180.18 2025/06/02 0.71 -1.33% -3.52% -5.97% +0.28% +3.94% -8.02% +8.45% +80.18% 15.06%
BlackRock US Dollar Core Bond Fund (USD) A2 33.29 2025/06/02 2.47 -1.22% -1.07% -0.39% +1.06% +3.80% +1.99% -7.09% N/A 6.12%
Fidelity Funds - Thailand Fund A-USD 36.06 2025/06/02 1.71 -1.15% +2.47% -12.48% -9.26% -4.45% -27.03% -24.13% +260.60% 14.70%
BlackRock Global Government Bond Fund (USD) A2 29.82 2025/06/02 1.47 -1.03% -0.23% -0.33% +0.71% +4.38% +2.65% -6.37% N/A 5.11%
Schroder ISF-Global Bond (USD) A Acc 11.41 2025/06/02 1.31 -0.88% +2.39% +2.00% +4.36% +5.33% -0.52% -11.68% +62.95% 7.79%
BlackRock Sustainable World Bond Fund (USD) A2 81.57 2025/06/02 1.85 -0.86% -0.38% -0.11% +0.62% +4.86% +4.94% -2.08% N/A 5.01%
Invesco Global Bond Fund (USD) A Acc 10.20 2025/06/02 N/A -0.84% -0.43% +0.33% +1.46% +5.65% +12.30% +13.20% N/A 6.70%
BlackRock Global Corporate Bond Fund (AUD) A8 Hedged 9.57 2025/06/02 N/A -0.83% -1.44% -1.54% -0.10% +1.38% -2.94% -14.48% N/A 6.25%
BlackRock Global Corporate Bond Fund (HKD) A6 Hedged 69.85 2025/06/02 N/A -0.81% -1.52% -1.81% -0.29% +0.24% -5.35% -17.10% N/A 6.22%
BlackRock Global Corporate Bond Fund (USD) A6 9.74 2025/06/02 N/A -0.81% -1.32% -1.52% 0.00% +1.25% -1.91% -13.88% N/A 6.23%
BlackRock Global Corporate Bond Fund (USD) A2 15.39 2025/06/02 1.50 -0.77% -0.52% +0.39% +1.52% +5.48% +9.77% +1.58% +53.90% 6.21%
BlackRock Global Inflation Linked Bond Fund (USD) A2 16.64 2025/06/02 2.32 -0.66% 0.00% +0.30% +1.65% +2.78% +1.71% +6.67% +66.40% 4.92%
Fidelity Funds - US Dollar Bond Fund A-Acc-USD 7.03 2025/06/02 N/A -0.59% -0.89% -1.69% +0.21% +0.75% -4.08% -14.96% -29.74% 6.22%
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