LU0605512606
Fidelity Asian Bond Fund

  • Fixed income
  • Asia
  • USD Cash
  • Accumulating
Invest with
USD Cash
Payout type
Accumulating
Risk rating
3
About this fund
Description
The Fund aims to achieve income and capital appreciation by investing primarily in investment grade fixed income securities of issuers that have their principal business activities in the Asian region.
Key information
Annual report
Product Highlight Sheet
Prospectus
Factsheet
Our perspective
Why we think this fund is best-in-class
product
Product
Offers direct exposure to Asian Investment Grade bonds with attractive distribution rates and some capital appreciation potential.Compared to many peers in the Asian credit space, which usually would allocate 20-30% to High Yield bonds, this fund has a soft limit of 10% allocation and therefore offers relatively pure exposure to Investment Grade bonds.
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people
People
Multi portfolio manager setup intended to reduce key-man risk with lead manager, Belinda Liao, having worked on the strategy since 2016 and as co-manager since 2019.Supported by a dedicated credit research team which conducts fundamental research on the securities while also considering relative value and technical support.
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performance
Performance
The fund has outperformed peers since inception from both an absolute return and a risk adjusted return standpoint.The fund’s high downside capture has historically been compensated by its stronger than peers upside capture.
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process
Process
Robust M.A.S.T.R (market, allocation, selection, transaction, risk) investment framework that covers both macro views and credit selection.The portfolio construction is designed to stay within modest tracking error as well as to keep a duration range of +/-1.5 years relative to the benchmark.
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cost
Cost
Clean share class with no trailer fee rebated back to Endowus investors to achieve lower cost of access.
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selectionCriteria
How it fits in a portfolio
Investors looking for exposure to Asian Investment Grade Bonds with a focus on payouts and capital appreciation can consider this fund.The fund is concentrated in fixed income securities in Asia and investors should consider diversification across other geographies.Updated as of 2022/12/07
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Invest in this fund
Performance
Shows the total return of this accumulating fund, which includes dividends reinvested.
Total returns
All Time
59.80%
YTD
4.94%
1 month
1.13%
6 month
2.67%
1 year
3.99%
3 year
10.70%
5 year
-2.18%
10 year
28.81%
As of Aug 2025
Distributions
This is an accumulating fund, so dividends are re-invested at the fund level.
Yield
5.34%As of Jun 2025
Risk metrics
Max drawdown
-24.32%As of Aug 2025
Volatility
6.22%As of Aug 2025
Calendar returns
YearTotalJanFebMarAprMayJunJulAugSepOctNovDec
2025-0.5%1.7%-0.2%0.2%0.0%1.1%0.4%1.1%----
20243.6%-0.2%-0.5%0.9%-1.7%1.4%0.9%1.7%2.0%1.4%-1.8%0.6%-1.0%
20234.9%4.2%-2.3%0.8%0.9%-1.3%0.3%0.1%-1.7%-1.8%-1.4%3.9%3.3%
2022-14.3%-2.4%-2.0%-2.7%-2.4%-0.7%-2.2%-0.1%0.2%-5.0%-7.9%8.1%2.7%
2021-2.0%-0.2%-1.5%-0.7%-1.3%-0.1%1.0%0.1%2.5%-1.4%-0.5%0.3%-0.2%
Top Exposures
2 Year Treasury Note Future Sept 25 (2025-09-30 Maturity)8.91%
5 Year Treasury Note Future Sept 25 (2025-09-30 Maturity)6.79%
US Treasury Bond Future Sept 25 (2025-09-19 Maturity)4.92%
Ultra US Treasury Bond Future Sept 25 (2025-09-19 Maturity)3.75%
YUNDA Holding Investment Ltd. 2.25% (2025-08-19 Maturity)1.77%
10 Year Treasury Note Future Sept 25 (2025-09-19 Maturity)1.50%
Majapahit Holding BV 7.875% (2037-06-29 Maturity)1.42%
Ck Hutchison International 24 Ltd. 5.5% (2034-04-26 Maturity)1.07%
United Overseas Bank Ltd. 3.863% (2032-10-07 Maturity)1.04%
Korea Water Resources Corp. 4.375% (2027-05-21 Maturity)0.96%
HDFC Bank Ltd. 3.7%0.92%
Nanshan Life Pte. Ltd. 5.45% (2034-09-11 Maturity)0.89%
China Great Wall International Holdings VI Ltd. 5.25% (2028-04-23 Maturity)0.81%
Australia & New Zealand Banking Group Ltd. 2.95% (2030-07-22 Maturity)0.80%
Lloyds Banking Group PLC 5.25% (2033-08-22 Maturity)0.79%
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
0.65% p.a.
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Fund facts
ISIN
LU0605512606
Fund house
Fidelity
Fund size
US$817.5M
As of 31 Aug 2025
Fund benchmark
Morningstar Asia USD Brd Mkt GR USD
Fund inception date
18 Apr 2011
Fund class currency
USD
Fund share class
Y
Oldest share class ISIN
LU0605512606
Oldest share inception date
18 Apr 2011
Pricing frequency
Daily

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