Hamon Asia ESG Focus Fund

  17/05/2022
Monthly Cumulative Performance % (NAV to NAV, with dividend reinvested)*
MTD YTD 1-Year 3-Year 5-Year
Hamon Asia ESG Focus Fund USD -4.73% -17.79% -26.02% -12.97% -18.65%
Hamon Asia ESG Focus Fund GBP -0.15% -11.41% -17.95% -10.09% -16.29%
MSCI AC Asia ex-Japan TR USD Index* -5.16% -12.74% -21.01% 8.17% 28.66%
Calendar Year Performance %
2021 2020^ 2019^ 2018^ 2017^
Hamon Asian Market Leaders Fund USD -5.67% 16.15% 9.25% -27.37% 33.24%
Hamon Asian Market Leaders Fund GBP -4.66% 11.73% 6.00% -23.18% 21.38%
MSCI AC Asia ex-Japan TR USD Index* -4.72 - - - -
Data as of 29 April 2022 *The benchmark index was changed from the MSCI Daily TR AC FE ex-Japan Net USD to the MSCI AC Asia ex-Japan TR USD Index with effect 1 Nov 2021. ^The performance of these years were achieved under circumstances that no longer apply, as the investment policy was changed since Nov 2021.
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