Important risk disclosure

Please click here and read carefully the summary of the key features and risks specific to this fund stated in the offering document prepared by the relevant fund house before making any investment decision.

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LU3146952166
abrdn SICAV I – Short Dated Enhanced Income Fund

  • Fixed income
  • Global
  • HKD Cash
  • Accumulating
Invest with
HKD Cash
Payout type
Accumulating
Risk rating
2
About this fund
Description
The Fund aims to achieve a combination of income and growth, whilst also aiming to provide liquidity and avoid loss of capital, by investing in bonds with a maturity of up to 5 years. The Fund aims to achieve a yield in excess of the Bloomberg Global...
Key information
Annual report
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Key fact sheet
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Prospectus
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Factsheet
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Our perspective
Why we think this fund is best-in-class
product
Product
Targets a global investment universe of debt and debt-related securities, covering Developed Markets, Emerging Markets, and Asian Credit to access diverse opportunities across geographies. Positioned as a flexible short-dated credit solution, designed to bridge the gap between pure money market funds and higher-volatility broad fixed income strategies.
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people
People
Led by experienced Portfolio Managers Mark Munro (Developed Market lead) and Joyce Bing (Asian & EM Credit lead), ensuring dedicated global cross-market coverage. Managed by abrdn’s Global Credit Team, leveraging a substantial network of dedicated credit analysts, economists, and strategists across major financial hubs.
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performance
Performance
Consistently aims to generate a yield premium over money market rates and global short-dated credit indices over rolling periods. Designed to deliver consistent risk-adjusted returns with a low volatility profile and limited maximum drawdowns. Performance is risk-controlled, focusing on the "pull-to-par" effects of short-dated bonds rather than excessive duration risk to drive returns.
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process
Process
Utilizes a robust investment process where decisions are predominantly driven by bottom-up security selection based on fundamental credit research, complemented by top-down macro and geopolitical adjustments. The strategy is grounded in three guiding principles: Advanced Liquidity (allocations to cash/T-bills), Price Stability (high-quality portfolio rating), and Enhanced Yield (unconstrained global selection). Portfolio construction employs a strict risk budgeting process to align performance with risk tolerances, ensuring broad diversification across issuers to mitigate single-country or sector concentration.
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cost
Cost
Access to clean retail share class with no trailer fees to achieve the lowest possible fees.
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selectionCriteria
How it fits in a portfolio
It serves as an ultra short duration solution, allowing investors to maximize returns on near-term goals without assuming significant duration or volatility risk. It functions as an efficient, lower-risk allocator that improves the yield on liquid assets while aiming to maintain decent capital preservation.
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Invest in this fund
Performance
Shows the total return of this accumulating fund, which includes dividends reinvested.
All Time
​
Total returns
All Time
2.14%
YTD
0.84%
1 month
-0.49%
6 month
2.14%
As of Mar 2026
Distributions
This is an accumulating fund, so dividends are re-invested at the fund level.
Risk metrics
Max drawdown
-0.49%As of Mar 2026
Volatility
1.37%As of Mar 2026
Calendar returns
YearTotalJanFebMarAprMayJunJulAugSepOctNovDec
2026-0.7%0.6%-0.5%---------
2025---------0.0%0.3%0.5%0.4%
Top Exposures
United States Treasury Bills 0% (2026-06-02 Maturity)12.06%
United States Treasury Bills 0% (2026-03-19 Maturity)2.31%
Anglian Water (Osprey) Financing PLC 2% (2028-07-31 Maturity)0.90%
Workspace Group PLC 2.25% (2028-03-11 Maturity)0.89%
Electricite de France SA 5.875% (2049-07-22 Maturity)0.84%
Santos Finance Ltd. 4.125% (2027-09-14 Maturity)0.78%
Avolon Holdings Funding Ltd. 4.2% (2029-04-15 Maturity)0.77%
ANZ New Zealand (Int'l) Limited, London Branch 4.29237% (2029-01-22 Maturity)0.77%
Athene Global Funding 4.83% (2028-05-09 Maturity)0.76%
Australia & New Zealand Banking Group Ltd. 5.731% (2034-09-18 Maturity)0.75%
Oracle Corp. 4.55% (2029-02-04 Maturity)0.75%
Bank of America Corp. 3.559% (2027-04-23 Maturity)0.74%
Pacific Gas and Electric Company 6.1% (2029-01-15 Maturity)0.74%
First Abu Dhabi Bank P.J.S.C 6.32% (2034-04-04 Maturity)0.72%
National Australia Bank Ltd. 1.699% (2031-09-15 Maturity)0.72%
Top exposures represent up to 15 of the fund's largest exposures for each category. Allocation percentages may not sum up to 100% and can include negative values due to rounding or trading activities by the underlying fund managers, including short positions.
Fund fees
0.42% p.a.
Fund facts
ISIN
LU3146952166
Fund house
Aberdeen Investments
Fund size
HK$6B
As of 10 Apr 2026
Fund inception date
03 Sep 2025
Fund class currency
HKD
Fund share class
X Acc HKD
Oldest share class ISIN
LU2628679941
Oldest share inception date
06 Jul 2023
Pricing frequency
Daily

Warning statements

  • All investments involve risks (including the possibility of loss of the capital invested) and the price of fund units may go up as well as down.
  • Past performance is not indicative of future performance.
  • Although this fund has been authorised by the Hong Kong Securities and Futures Commission (“SFC”), it does not imply an official recommendation or endorsement by the SFC nor does it guarantee the commercial merits of the fund or its performance.
  • If you are in any doubt, you should clarify with us or seek independent professional advice.

Risk Warnings Investment involves risk. Past performance is not an indicator nor a guarantee of future performance or returns. Projected performance or returns are not guaranteed to materialise. The value of investments and the income from them can go down as well as up, and you may not get the full amount you invested. Rates of exchange may cause the value of investments to go up or down. Individual stock performance does not represent the return of a fund.

The value of the fund can be volatile and can go down substantially within a short period of time. It is possible that a certain amount or all of your investment could be lost.

Generic risk warnings relating to collective investment schemes

Funds are not a bank deposit and not capital guaranteed, and is subject to investment risks, including the possible loss of the principal amount invested. There is no assurance that a fund will have sufficient liquidity to meet redemption requests and that the fund's investment objectives and strategies will be achieved.

The funds' investment may involve substantial market, currency, volatility, liquidity, regulatory and political risks. Some funds may use derivatives, whether for hedging or for investment purposes. The risks associated with derivatives include counterparty/credit, liquidity, valuation, volatility and market risks. The fund's volatility may increase or decrease from its derivative usage and such fund may suffer losses from its derivative usage. Do not invest in these funds unless you fully understand and are willing to assume the risks associated with them.

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