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BNP Paribas | BNP Asia ex-Japan Equity Dis

At all times, this sub-fund invests at least 75%of its assets in equities and/or equity equivalent securities issued by a limited number of companies that have their registered offices or conduct the majority of their business activities in Asia (excluding Japan) and that are characterised by the quality of their financial structure and/or their potential for earnings growth. The remaining portion, namely a maximum of 25% of its assets, may be invested in any other transferable securities (including P-Notes), money market instruments, financial derivative instruments, or cash, provided that investments in debt securities of any kind do not exceed 15% of its assets, and up to 10% of its assets may be invested in UCITS or UCI. In respect of the above investments limits, the sub-funds overall exposure (via both direct and indirect investments) to mainland China securities will not exceed 25% of its assets by investments in China A-Shares via the Stock Connect, and financial derivative instruments on this type of assets.

Available documents (NL)

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Available documents (EN)

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Available documents for this product
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Quote
Quote
€71,48
Quote date
31-03-2026
Performance in EUR
Date
31-03-2026
This year
3,68%
1 week
-3,81%
1 month
-10,16%
3 months
3,68%
6 months
5,69%
1 year
21,24%
3 years (annualised)
10,61%
5 years (annualised)
-
Since start (annualised)
8,81%
Indicators
Standard deviation (3yr)
13,00%
Share ratio (3yr)
1,04
Beta (3yr)
0,96
Alpha (3yr)
-0,94
Tracking error (3yr)
3,52
Top 10 holdings (28-02-2026)
Taiwan Semiconductor Manufacturing Co Ltd
9,78 %
Samsung Electronics Co Ltd
9,74 %
SK Hynix Inc
8,49 %
Tencent Holdings Ltd
6,04 %
Alibaba Group Holding Ltd Ordinary Shares
4,83 %
AIA Group Ltd
3,97 %
Delta Electronics Inc
3,24 %
MediaTek Inc
3,11 %
Chroma Ate Inc
3,08 %
DBS Group Holdings Ltd
2,60 %
Fees
Entry fee
0,20%; free with Self Directed Investing Basic
Exit charges
0,20%; free with Self Directed Investing Basic
Estimated ongoing charges
0,88%
Dividend
Dividend paying
Yes
Dividend
€1,28
Ex-dividend date
21-04-2026
Payment date
04-05-2026
Dividend frequency
Annually
Characteristic
Asset Manager
BNP Paribas
Asset class
Equities
Investment category
Equities - Asia Pacific excl. Japan
Active/Passive
Active
Fund code
95928
Fund code fractional orders
95928
Fund manager name
Roxy Wong|Jinwen Ouyang|Zhikai Chen
ISIN
LU2503891918
Sustainable Classification
Art. 8, ESG integration
Sustainability Rating
Domicile
Luxembourg
Currency
EUR
Fund size (mio)
€224,24 (30-03-2026)
Cut-off time
-
Execution date
Yes, T+1
Inception date
09-12-2022
Benchmark
MSCI AC Asia Ex Japan NR EUR
Minimum investment amount
€20
Assortiment
Self Directed Investing Basic, Self Directed Investing Plus, Investment advice