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Interviews with Fund Managers and Investment Strategists bring you insights on global market trends and investment news. Select the category and topic below to watch the videos.
A quick update on U.S. inflation and job market
13 May 2024Federal Reserve’s policy outlook and its investment implications
30 Apr 20242Q24 Guide to the Markets Videocast
28 Mar 2024China’s 2024 Growth Target and Economic Priorities
22 Mar 2024Opportunities in U.S. equities
12 Mar 2024Bank of Japan, its policy outlook and its potential impact on the Japanese yen and equity market
03 Mar 2024Why 2024 could be a better year for Asian equities?
27 Feb 2024Opportunities in Asia fixed income
26 Jan 2024Year Ahead 2024 – Asset allocation and potential risks
04 Jan 2024Are investors too optimistic about policy easing in 2024?
27 Dec 2023Understanding small cap valuations
19 Dec 2023How to position fixed income under different economic and interest rate scenarios?
23 Nov 2023Year Ahead 2024 - U.S. & China economy outlook and 2024 elections
21 Nov 2023Rising U.S. bond yields and implications for Asia
03 Nov 2023What is the outlook for the 3Q23 US earnings season?
19 Oct 20234Q23 Guide to the Markets Videocast
29 Sep 2023Taking stock of developed market central banks’ policy directions
03 Oct 2023U.S. corporate investments and its impact on Asia tech
15 Sep 2023Assessing the financial and deflation risk from a weak China recovery
04 Sep 20233Q23 Guide to the Markets Videocast
30 Jun 2023Gauging the direction of global corporate earnings
19 Jun 2023Don't overlook the opportunities within Asia fixed income
12 May 20232Q23 Guide to the Markets Videocast – Equities
03 May 20232Q23 Guide to the Markets Videocast – Fixed Income
25 Apr 20232Q23 Guide to the Markets Videocast
30 Mar 2023Re-exploring investment opportunity in China
22 Mar 2023What’s the latest 4Q22 U.S. earnings telling us?
23 Feb 2023Year Ahead 2023 - Role of cash and fixed income
19 Jan 2023Year Ahead 2023 - Outlook of Chinese and Asian markets
10 Jan 2023Year Ahead 2023 - U.S. economy and monetary policy
22 Dec 2022China market: buoyant market sentiment along a bumpy road to recovery
15 Dec 2022Year Ahead 2023 - Introduction
13 Dec 2022Long-term investment opportunity is looking bright
01 Dec 2022A glimpse of hope for U.S. and China equities?
18 Nov 2022Key events to watch out for to gauge China’s policy pivot
11 Nov 20224Q22 Guide to the Markets Videocast – Equities
02 Nov 20224Q22 Guide to the Markets Videocast – Fixed Income
24 Oct 20224Q22 Guide to the Markets Videocast
03 Oct 2022A strong dollar and impact on Asian currencies
30 Sep 2022Things to watch out for in September FOMC meeting
15 Sep 2022Fed policy outlook after Jackson Hole
02 Sep 2022The outlook for Asian electronics and internet platforms
11 Aug 20223Q22 Guide to the Markets Videocast – The return of investment in fixed income
28 Jul 20223Q22 Guide to the Markets Videocast – Taking a more balanced approach in asset allocation
26 Jul 20223Q22 Guide to the Markets Videocast
04 Jul 2022A few thoughts on fixed income
30 Jun 2022Gauging U.S. economic recession risk
17 Jun 2022China stimulus measures: what have been introduced and what is the next key catalyst
02 Jun 20222Q22 Market Outlook
25 May 2022How should investors handle the current bout of market volatility?
19 May 2022Pressure on the yen and the yuan
05 May 20222Q22 Guide to the Markets Videocast – Some possible change in trends
27 Apr 20222Q22 Guide to the Markets Videocast – Asset Allocation
26 Apr 20222Q22 Guide to the Markets Videocast
31 Mar 2022Key drivers and outlook of U.S. inflation
18 Mar 2022Should investors worry about stagflation?
11 Mar 2022What to expect from the NPC annual session?
23 Feb 2022Liquid alternatives 101
15 Feb 20224Q21 U.S. earnings update
10 Feb 2022The Year Ahead 2022 - Asset allocation and investment outlook
23 Dec 2021Year Ahead 2022 - Inflation outlook of the US and Fed policy
20 Dec 2021The Year Ahead 2022_Global economic outlook and China’s growth prospects
28 Dec 2022Why does Japan deserve investors’ attention?
08 Dec 2021How should Asian investors react to the Omicron variant?
03 Dec 2021Will the COVID-19 resurgence derail Chinese economic recovery?
17 Nov 2021Why is COP26 relevant to Asian investors?
03 Nov 20214Q21 Guide to the Markets Videocast – Equity allocation
25 Oct 20214Q21 Guide to the Markets Videocast – Asset Allocation
25 Oct 20214Q21 Guide to the Markets Videocast
29 Sep 2021How to navigate the three challenges in China?
23 Sep 2021What could trigger a market correction?
16 Sep 2021Will disappointing payrolls derail the taper?
09 Sep 2021How would QE tapering impact on investment?
02 Sep 2021Firmer than expected U.S. 2Q earnings
19 Aug 2021What now for Chinese equities?
05 Aug 20213Q21 Guide to the Markets Videocast – Income generation in a rising yield environment
03 Aug 20213Q21 Guide to the Markets Videocast – Asset Allocation
22 Jul 20213Q21 Guide to the Markets Videocast
30 Jun 2021Is a more hawkish Federal Reserve bullish for the USD?
02 Jul 2021Is equity market correction coming?
17 Jun 2021What’s driving the Chinese yuan stronger and what’s next?
04 Jun 2021J.P. Morgan China Income Strategy
26 May 2021J.P. Morgan China Growth Strategy
26 May 20211Q21 U.S. earnings season and its investment implications
21 May 2021What will higher U.S. taxes mean for the market?
06 May 20212Q21 Guide to the Markets Videocast – Equity allocation
23 Apr 20212Q21 Guide to the Markets Videocast – Investing in a rising yield environment
23 Apr 20212Q21 Guide to the Markets Videocast
31 Mar 2021Are emerging markets vulnerable to the recent rise in U.S. Treasury yields?
18 Mar 2021What to expect from the upcoming National People’s Congress in China?
04 Mar 2021Reasons behind rising bond yields and inflation concern
25 Feb 2021How should Asian investors handle the current bout of market volatility?
18 Feb 2021U.S. President Joe Biden’s policy priorities and its investment implications
27 Jan 20211Q21 Guide to the Markets Videocast – Equities
25 Jan 20211Q21 Guide to the Markets Videocast – Asset Allocation
21 Jan 20211Q21 Guide to the Markets Videocast
23 Dec 2020Market concern on inflation and its investment implications
11 Dec 2020Implications from rising corporate bond defaults in China
03 Dec 2020Year Ahead 2021 - Generating Income
03 Dec 2020Year Ahead 2021 - Asset Allocation
23 Nov 2020COVID-19 vaccine breakthrough and its investment implications
19 Nov 2020Year Ahead 2021 - Economic and policy outlook
17 Nov 2020Recent wave of COVID-19 outbreak and its investment implications
06 Nov 20204Q20 Guide to the Markets Videocast – Generating Income
03 Nov 20204Q20 Guide to the Markets Videocast – Asset Allocation
20 Oct 20204Q20 Guide to the Markets Videocast
05 Oct 2020China’s improving macro data, recent major catalysts on financial market development and their investment implications
30 Sep 2020Latest U.S. equity market and its investment implications
18 Sep 2020Federal Reserve’s monetary policy framework and its investment implications
03 Sep 2020China’s policy priorities and investment implications
20 Aug 2020Reasons behind the weakness of U.S. dollar and its investment implications
07 Aug 20203Q20 Guide to the Markets Videocast – Fixed Income
16 Jul 20203Q20 Guide to the Markets Videocast – Asset Allocation
10 Jul 20203Q20 Guide to the Markets Videocast
30 Jun 2020What should investors do following strong equity market rebound?
18 Jun 2020Potential investment opportunities in Chinese bond market
04 Jun 2020Federal Reserve’s interest rate policy and its investment implications
21 May 2020Potential economic structural changes and its impact on the investment landscape
07 May 2020Updates on COVID-19 pandemic and its investment implications
23 Apr 20202Q20 Guide to the Markets Videocast – Asset Allocation
16 Apr 20202Q20 Guide to the Markets Videocast – Dealing with zero policy rates
08 Apr 20202Q20 Guide to the Markets Videocast
01 Apr 2020Demand for liquidity and its investment implications
27 Mar 2020Oil price collapse and its investment implications
12 Mar 2020Latest development on the COVID-19 outbreak and its impact on market sentiment
27 Feb 2020Chinese policy on coronavirus outbreak and its investment implications
13 Feb 20201Q20 Guide to the Markets Videocast – Asset allocation
14 Jan 20201Q20 Guide to the Markets Videocast – China economic outlook
08 Jan 20201Q20 Guide to the Markets Videocast
02 Jan 2020Latest U.S. Fed policy rate decision and its investment implications
17 Dec 2019Year Ahead 2020 - The macroeconomic outlook
14 Nov 2019Latest Asian export performance and its investment implications
02 Dec 2019Year Ahead 2020 - The economic environment
09 Dec 20194Q19 Guide to the Markets Videocast – Asset Allocation
22 Oct 20194Q19 Guide to the Markets Videocast – Negative yields
09 Oct 2019October FOMC meeting and its investment implications
01 Nov 20193Q U.S. earnings and its investment implications
18 Oct 20194Q19 Guide to the Markets Videocast
03 Oct 2019The A-share weighting increase by MSCI and its investment implications
29 Aug 2019The inverted yield curve and its investment implications
18 Aug 2019INTRODUCING RETIREMENT INSIGHTS (PERSONAL INVESTORS)
22 Jul 20193Q19 Guide to the Markets – Income Generation
18 Jul 20193Q19 Guide to the Markets - Asset Allocation
10 Jul 20193Q19 Guide to the Markets Overview
03 Jul 20192Q19 Guide to the Markets – Asian Equities
24 Apr 20192Q19 Guide to the Markets – Asset Allocation
08 Apr 20192Q19 Guide to the Markets Overview
02 Apr 2019For the purposes of MiFID II, the JPM Market Insights and Portfolio Insights programmes are marketing communications and are not in scope for any MiFID II / MiFIR requirements specifically related to investment research. Furthermore, the J.P. Morgan Asset Management Market Insights and Portfolio Insights programmes, as non-independent research, have not been prepared in accordance with legal requirements designed to promote the independence of investment research, nor are they subject to any prohibition on dealing ahead of the dissemination of investment research. This document is a general communication being provided for informational purposes only. It is educational in nature and not designed to be taken as advice or a recommendation for any specific investment product, strategy, plan feature or other purpose in any jurisdiction, nor is it a commitment from J.P. Morgan Asset Management or any of its subsidiaries to participate in any of the transactions mentioned herein. Any examples used are generic, hypothetical and for illustration purposes only. This material does not contain sucient information to support an investment decision and it should not be relied upon by you in evaluating the merits of investing in any securities or products. In addition, users should make an independent assessment of the legal, regulatory, tax, credit, and accounting implications and determine, together with their own professional advisers, if any investment mentioned herein is believed to be suitable to their personal goals. Investors should ensure that they obtain all available relevant information before making any investment. Any forecasts, figures, opinions or investment techniques and strategies set out are for information purposes only, based on certain assumptions and current market conditions and are subject to change without prior notice. All information presented herein is considered to be accurate at the time of production, but no warranty of accuracy is given and no liability in respect of any error or omission is accepted. It should be noted that investment involves risks, the value of investments and the income from them may fluctuate in accordance with market conditions and taxation agreements and investors may not get back the full amount invested. Both past performance and yields are not a reliable indicator of current and future results. J.P. Morgan Asset Management is the brand for the asset management business of JPMorgan Chase & Co. and its aliates worldwide. This communication is issued by the following entities: in the United Kingdom by JPMorgan Asset Management (UK) Limited, which is authorized and regulated by the Financial Conduct Authority; in other European jurisdictions by JPMorgan Asset Management (Europe) S.à r.l.; in Hong Kong by JF Asset Management Limited, or JPMorgan Funds (Asia) Limited, or JPMorgan Asset Management Real Assets (Asia) Limited; in Singapore by JPMorgan Asset Management (Singapore) Limited (Co. Reg. No. 197601586K), or JPMorgan Asset Management Real Assets (Singapore) Pte Ltd (Co. Reg. No. 201120355E); in Taiwan by JPMorgan Asset Management (Taiwan) Limited; in Japan by JPMorgan Asset Management (Japan) Limited which is a member of the Investment Trusts Association, Japan, the Japan Investment Advisers Association, Type II Financial Instruments Firms Association and the Japan Securities Dealers Association and is regulated by the Financial Services Agency (registration number “Kanto Local Finance Bureau (Financial Instruments Firm) No. 330”); in Korea by JPMorgan Asset Management (Korea) Company Limited; in Australia to wholesale clients only as defined in section 761A and 761G of the Corporations Act 2001 (Cth) by JPMorgan Asset Management (Australia) Limited (ABN 55143832080) (AFSL 376919); in Brazil by Banco J.P. Morgan S.A.; in Canada for institutional clients’ use only by JPMorgan Asset Management (Canada) Inc., and in the United States by JPMorgan Distribution Services Inc. and J.P. Morgan Institutional Investments, Inc., members of FINRA; and J.P. Morgan Investment Management Inc. In APAC, distribution is for Hong Kong, Taiwan, Japan and Singapore. For all other countries in APAC, to intended recipients only. Copyright 2018 JPMorgan Chase & Co. All rights reserved.
Material ID: 0903c02a8237b71d
A quick update on U.S. inflation and job market
13 May 2024Federal Reserve’s policy outlook and its investment implications
30 Apr 20242Q24 Guide to the Markets Videocast
28 Mar 2024China’s 2024 Growth Target and Economic Priorities
22 Mar 2024Opportunities in U.S. equities
12 Mar 2024Bank of Japan, its policy outlook and its potential impact on the Japanese yen and equity market
03 Mar 2024Why 2024 could be a better year for Asian equities?
27 Feb 2024Opportunities in Asia fixed income
26 Jan 2024Year Ahead 2024 – Asset allocation and potential risks
04 Jan 2024Are investors too optimistic about policy easing in 2024?
27 Dec 2023Understanding small cap valuations
19 Dec 2023How to position fixed income under different economic and interest rate scenarios?
23 Nov 2023Year Ahead 2024 - U.S. & China economy outlook and 2024 elections
21 Nov 2023Rising U.S. bond yields and implications for Asia
03 Nov 2023What is the outlook for the 3Q23 US earnings season?
19 Oct 20234Q23 Guide to the Markets Videocast
29 Sep 2023Taking stock of developed market central banks’ policy directions
03 Oct 2023U.S. corporate investments and its impact on Asia tech
15 Sep 2023Assessing the financial and deflation risk from a weak China recovery
04 Sep 20233Q23 Guide to the Markets Videocast
30 Jun 2023Gauging the direction of global corporate earnings
19 Jun 2023Don't overlook the opportunities within Asia fixed income
12 May 20232Q23 Guide to the Markets Videocast – Equities
03 May 20232Q23 Guide to the Markets Videocast – Fixed Income
25 Apr 20232Q23 Guide to the Markets Videocast
30 Mar 2023Re-exploring investment opportunity in China
22 Mar 2023What’s the latest 4Q22 U.S. earnings telling us?
23 Feb 2023Year Ahead 2023 - Role of cash and fixed income
19 Jan 2023Year Ahead 2023 - Outlook of Chinese and Asian markets
10 Jan 2023Year Ahead 2023 - U.S. economy and monetary policy
22 Dec 2022China market: buoyant market sentiment along a bumpy road to recovery
15 Dec 2022Year Ahead 2023 - Introduction
13 Dec 2022Long-term investment opportunity is looking bright
01 Dec 2022A glimpse of hope for U.S. and China equities?
18 Nov 2022Key events to watch out for to gauge China’s policy pivot
11 Nov 20224Q22 Guide to the Markets Videocast – Equities
02 Nov 20224Q22 Guide to the Markets Videocast – Fixed Income
24 Oct 20224Q22 Guide to the Markets Videocast
03 Oct 2022A strong dollar and impact on Asian currencies
30 Sep 2022Things to watch out for in September FOMC meeting
15 Sep 2022Fed policy outlook after Jackson Hole
02 Sep 2022The outlook for Asian electronics and internet platforms
11 Aug 20223Q22 Guide to the Markets Videocast – The return of investment in fixed income
28 Jul 20223Q22 Guide to the Markets Videocast – Taking a more balanced approach in asset allocation
26 Jul 20223Q22 Guide to the Markets Videocast
04 Jul 2022A few thoughts on fixed income
30 Jun 2022Gauging U.S. economic recession risk
17 Jun 2022China stimulus measures: what have been introduced and what is the next key catalyst
02 Jun 20222Q22 Market Outlook
25 May 2022How should investors handle the current bout of market volatility?
19 May 2022Pressure on the yen and the yuan
05 May 20222Q22 Guide to the Markets Videocast – Some possible change in trends
27 Apr 20222Q22 Guide to the Markets Videocast – Asset Allocation
26 Apr 20222Q22 Guide to the Markets Videocast
31 Mar 2022Key drivers and outlook of U.S. inflation
18 Mar 2022Should investors worry about stagflation?
11 Mar 2022What to expect from the NPC annual session?
23 Feb 20224Q21 U.S. earnings update
10 Feb 2022The Year Ahead 2022 - Asset allocation and investment outlook
23 Dec 2021Year Ahead 2022 - Inflation outlook of the US and Fed policy
20 Dec 2021The Year Ahead 2022_Global economic outlook and China’s growth prospects
28 Dec 2022Why does Japan deserve investors’ attention?
08 Dec 2021How should Asian investors react to the Omicron variant?
03 Dec 2021Will the COVID-19 resurgence derail Chinese economic recovery?
17 Nov 2021Why is COP26 relevant to Asian investors?
03 Nov 20214Q21 Guide to the Markets Videocast – Equity allocation
25 Oct 20214Q21 Guide to the Markets Videocast – Asset Allocation
25 Oct 20214Q21 Guide to the Markets Videocast
29 Sep 2021How to navigate the three challenges in China?
23 Sep 2021What could trigger a market correction?
16 Sep 2021Will disappointing payrolls derail the taper?
09 Sep 2021How would QE tapering impact on investment?
02 Sep 2021Firmer than expected U.S. 2Q earnings
19 Aug 2021What now for Chinese equities?
05 Aug 20213Q21 Guide to the Markets Videocast – Income generation in a rising yield environment
03 Aug 20213Q21 Guide to the Markets Videocast – Asset Allocation
22 Jul 20213Q21 Guide to the Markets Videocast
30 Jun 2021Is a more hawkish Federal Reserve bullish for the USD?
02 Jul 2021Is equity market correction coming?
17 Jun 2021What’s driving the Chinese yuan stronger and what’s next?
04 Jun 2021J.P. Morgan China Income Strategy
26 May 2021J.P. Morgan China Growth Strategy
26 May 20211Q21 U.S. earnings season and its investment implications
21 May 2021What will higher U.S. taxes mean for the market?
06 May 20212Q21 Guide to the Markets Videocast – Equity allocation
23 Apr 20212Q21 Guide to the Markets Videocast – Investing in a rising yield environment
23 Apr 20212Q21 Guide to the Markets Videocast
31 Mar 2021Are emerging markets vulnerable to the recent rise in U.S. Treasury yields?
18 Mar 2021What to expect from the upcoming National People’s Congress in China?
04 Mar 2021Reasons behind rising bond yields and inflation concern
25 Feb 2021How should Asian investors handle the current bout of market volatility?
18 Feb 2021U.S. President Joe Biden’s policy priorities and its investment implications
27 Jan 20211Q21 Guide to the Markets Videocast – Equities
25 Jan 20211Q21 Guide to the Markets Videocast – Asset Allocation
21 Jan 20211Q21 Guide to the Markets Videocast
23 Dec 2020Market concern on inflation and its investment implications
11 Dec 2020Implications from rising corporate bond defaults in China
03 Dec 2020Year Ahead 2021 - Generating Income
03 Dec 2020Year Ahead 2021 - Asset Allocation
23 Nov 2020COVID-19 vaccine breakthrough and its investment implications
19 Nov 2020Year Ahead 2021 - Economic and policy outlook
17 Nov 2020Recent wave of COVID-19 outbreak and its investment implications
06 Nov 20204Q20 Guide to the Markets Videocast – Generating Income
03 Nov 20204Q20 Guide to the Markets Videocast – Asset Allocation
20 Oct 20204Q20 Guide to the Markets Videocast
05 Oct 2020China’s improving macro data, recent major catalysts on financial market development and their investment implications
30 Sep 2020Latest U.S. equity market and its investment implications
18 Sep 2020Federal Reserve’s monetary policy framework and its investment implications
03 Sep 2020China’s policy priorities and investment implications
20 Aug 2020Reasons behind the weakness of U.S. dollar and its investment implications
07 Aug 20203Q20 Guide to the Markets Videocast – Fixed Income
16 Jul 20203Q20 Guide to the Markets Videocast – Asset Allocation
10 Jul 20203Q20 Guide to the Markets Videocast
30 Jun 2020What should investors do following strong equity market rebound?
18 Jun 2020Potential investment opportunities in Chinese bond market
04 Jun 2020Federal Reserve’s interest rate policy and its investment implications
21 May 2020Potential economic structural changes and its impact on the investment landscape
07 May 2020Updates on COVID-19 pandemic and its investment implications
23 Apr 20202Q20 Guide to the Markets Videocast – Asset Allocation
16 Apr 20202Q20 Guide to the Markets Videocast – Dealing with zero policy rates
08 Apr 20202Q20 Guide to the Markets Videocast
01 Apr 2020Demand for liquidity and its investment implications
27 Mar 2020Oil price collapse and its investment implications
12 Mar 2020Latest development on the COVID-19 outbreak and its impact on market sentiment
27 Feb 2020Chinese policy on coronavirus outbreak and its investment implications
13 Feb 20201Q20 Guide to the Markets Videocast – Asset allocation
14 Jan 20201Q20 Guide to the Markets Videocast – China economic outlook
08 Jan 20201Q20 Guide to the Markets Videocast
02 Jan 2020Latest U.S. Fed policy rate decision and its investment implications
17 Dec 2019Year Ahead 2020 - The economic environment
09 Dec 2019Latest Asian export performance and its investment implications
02 Dec 2019Year Ahead 2020 - The macroeconomic outlook
14 Nov 2019October FOMC meeting and its investment implications
01 Nov 20194Q19 Guide to the Markets Videocast – Asset Allocation
22 Oct 20193Q U.S. earnings and its investment implications
18 Oct 20194Q19 Guide to the Markets Videocast – Negative yields
09 Oct 20194Q19 Guide to the Markets Videocast
03 Oct 2019The A-share weighting increase by MSCI and its investment implications
29 Aug 2019The inverted yield curve and its investment implications
18 Aug 20193Q19 Guide to the Markets – Income Generation
18 Jul 20193Q19 Guide to the Markets - Asset Allocation
10 Jul 20193Q19 Guide to the Markets Overview
03 Jul 20192Q19 Guide to the Markets – Asian Equities
24 Apr 20192Q19 Guide to the Markets – Asset Allocation
08 Apr 20192Q19 Guide to the Markets Overview
02 Apr 2019JPMORGAN FUNDS - ASIA PACIFIC INCOME FUND
- The Fund invests primarily in income generating securities of countries in the Asia Pacific region (excluding Japan), and may invest a significant proportion of its assets in below investment grade and unrated debt securities.
- The Fund is therefore exposed to equity, liquidity and convertibles risks, interest rate risks which may affect the price of bonds, credit and real estate market related risks (associated with the risk of investing in REITs and other property related securities; direct investment in real estate is not permitted) as well as the emerging markets and currency risks. Pertaining to investments in below investment grade or unrated debt securities, these securities may be subject to higher liquidity risks and credit risks compared with investment grade bonds, with an increased risk of loss of investment. For currency hedged share classes, the currency hedging process may not give a precise hedge and there is no guarantee that the hedging will be totally successful. For “(irc)” share classes, they may have greater capital erosion, and their NAV may fluctuate more and be significantly different from the other share classes. Investment in RMB hedged share class is subject to risks associated with the RMB currency and currency hedged share classes risks. RMB is currently not freely convertible and RMB convertibility from offshore RMB (CNH) to onshore RMB (CNY) is a managed currency process subject to foreign exchange control policies of and restrictions imposed by the Chinese government. There can be no assurance that RMB will not be subject to devaluation at some point.
- The Fund may at its discretion pay dividends out of capital, giving priority to dividends rather than capital growth. The Fund may also at its discretion pay dividends out of gross income while charging all or part of the Fund’s fees and expenses to the capital of the Fund, resulting in an increase in distributable amount for the payment of dividends and therefore, effectively paying dividends out of realised, unrealised capital gains or capital. Investors should note that, share classes of the Fund which pay dividends may distribute not only investment income, but also realised and unrealised capital gains or capital. Payment of dividends out of capital amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Any dividend payments, irrespective of whether such payment is made up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share.
- Investors may be subject to substantial losses.
- Investors should not solely rely on this document to make any investment decision.