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Fund Codes


Fund Name
Share
Class
CCYDistribution
Policy
ISINBloombergLipperReuters
Schroder International Selection Fund
Asia Pacific Cities Real Estate A Acc USD - LU0269905997 SCAPPAA LX 65053949 LU0269905997.LUF
Asia Pacific Cities Real Estate A1 Acc USD - LU0269906532 SCAPPA1 LX 65054099 LU0269906532.LUF
Asian Bond Total Return A Acc USD - LU0106250508 SCHABDA LX 60035640 LU0106250508.LUF
Asian Bond Total Return A Dis HKD MV LU0532872552 SCHKDAD LX - LU0532872552.LUF
Asian Bond Total Return A Dis USD MV LU0091253459 SCHABDI LX 60035641 LU0091253459.LUF
Asian Bond Total Return A1 Acc USD - LU0133703115 SCHABA1 LX 60074161 LU0133703115.LUF
Asian Bond Total Return D Dis USD MV LU0417517975 SCHABDD LX 68010933 LU0417517975.LUF
Asian Equity Yield A Acc USD - LU0188438112 SCHAEYA LX 60093086 LU0188438112.LUF
Asian Equity Yield A Dis USD MF LU0192582467 SCHAEAD LX 60093087 LU0192582467.LUF
Asian Equity Yield A1 Acc USD - LU0188439193 SCHAYA1 LX 60093089 LU0188439193.LUF
Asian Local Currency Bond A Acc USD - LU0358729142 SCHALAA LX 65115349 LU0358729142.LUF
Asian Local Currency Bond A Dis USD MV LU0358731395 SCHALDA LX 65115350 LU0358731395.LUF
Asian Opportunities A Acc USD - LU0106259558 SCHPFAA LX 60035750 LU0106259558.LUF
Asian Opportunities A Dis USD AV LU0048388663 SCHPFAI LX 60035751 LU0048388663.LUF
Asian Opportunities A1 Acc USD - LU0133713346 SCHPEA1 LX 60070120 LU0133713346.LUF
Asian Smaller Companies A Acc USD - LU0227179875 SCHASAA LX 65007541 LU0227179875.LUF
Asian Total Return A Acc USD - LU0326948709 SCHABRA LX 65094249 LU0326948709.LUF
Asian Total Return A1 Acc USD - LU0326949269 SCHARA1 LX 65094258 LU0326949269.LUF
BRIC (Brazil, Russia, India, China) A Acc EUR - LU0232931963 SCHBREA LX 65011034 LU0232931963.LUF
BRIC (Brazil, Russia, India, China) A Acc HKD - LU0828237510 SCHIAHK LX - LU0828237510.LUF
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US/Hong Kong dollar-based investors are exposed to currency fluctuations where funds are denominated in currencies other than US/Hong Kong dollars.

Effective 11/09/2018, more distribution characteristics will be reflected in Schroder International Selection Fund's distribution class’s name via new characters, to indicate: Distribution Frequency (M = monthly, Q = quarterly, S = semi-annual, A = annual); Distribution type (F = fixed or V = variable); Currency carry (C); Different distribution rates (the actual fixed percentage and amount will not be displayed in the name, instead a numerical suffix to differentiate the share classes e.g. 2, 3, n).

Currency carry refers to the premium or discount that may apply to the distribution. Distributions may include a premium when the interest rate of a currency hedged share class is higher than the fund's base currency interest rate. Consequently when the interest rate of a currency hedged share class is lower than the fund's base currency interest rate, the dividend may be discounted. The level of premium or discount is determined by differences in interest rates and is not part of the fund's investment objective or investment policy.

The investments mentioned in this website may not be suitable to all investors. The information contained in this website is provided for reference only and does not constitute any investment advice. Investors are advised to seek independent advice before making any investment decision. Past performance is not indicative of future performance. Investment involves risk and investors may not get back the amount originally invested. Please read the relevant offering document carefully, in particular fund features and the risks involved in investing in the fund.

Schroder Investment Management (Hong Kong) Limited is regulated by the SFC. Non-Hong Kong residents are responsible for observing all applicable laws and regulations of their relevant jurisdictions before proceeding to access the information contained herein.

The website (excluding Schroder MPF Master Trust and Schroder Provident Fund related pages) has not been reviewed by the SFC and may contain information of non-SFC authorized funds. Issued by Schroder Investment Management (Hong Kong) Limited.

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