| - |
- |
888 UL Cautious Fund
|
07 Dec 1992
|
USD |
0.2090 |
0.2200 |
24 Dec 2025 |
| F276 |
Low |
abrdn Liquidity Fund (Lux) - US Dollar Fund (A-2 Acc USD)
|
09 Oct 2025
|
USD |
3,810.1014 |
3,810.1014 |
30 Dec 2025 |
| F161 |
High |
abrdn SICAV I - All China Sustainable Equity Fund (A Acc USD)
|
27 Apr 1992
|
USD |
28.8802 |
28.8802 |
30 Dec 2025 |
| F94 |
High |
abrdn SICAV I - Asia Pacific Sustainable Equity Fund (A Acc USD)
|
26 Apr 1988
|
USD |
111.0550 |
111.0550 |
30 Dec 2025 |
| F93 |
High |
abrdn SICAV I - Asian Smaller Companies Fund (A Acc USD)
|
14 May 2004
|
USD |
70.1961 |
70.1961 |
30 Dec 2025 |
| F162 |
Medium |
abrdn SICAV I - Emerging Markets Bond Fund (A Acc USD)
|
15 Aug 2001
|
USD |
52.5134 |
52.5134 |
30 Dec 2025 |
| F164 |
High |
abrdn SICAV I - Future Global Equity Fund (A Acc USD)
|
15 Feb 2000
|
USD |
10.1812 |
10.1812 |
30 Dec 2025 |
| F154 |
High |
abrdn SICAV I - Indian Equity Fund (A Acc USD)
|
24 Mar 2006
|
USD |
221.3402 |
221.3402 |
30 Dec 2025 |
| F211 |
High |
abrdn SICAV I - Japanese Smaller Companies Sustainable Equity Fund (A Acc Hedged USD)
|
18 Jun 2013
|
USD |
39.8167 |
39.8167 |
30 Dec 2025 |
| F200 |
High |
abrdn SICAV I - Japanese Smaller Companies Sustainable Equity Fund (A Acc JPY)
|
20 Apr 2007
|
JPY |
2,684.1149 |
2,684.1149 |
30 Dec 2025 |
| F219 |
High |
abrdn SICAV I - Japanese Sustainable Equity Fund (A Acc Hedged USD)
|
22 May 2013
|
USD |
34.2754 |
34.2754 |
30 Dec 2025 |
| F199 |
High |
abrdn SICAV I - North American Smaller Companies Fund (A Acc USD)
|
01 Oct 2013
|
USD |
29.8861 |
29.8861 |
30 Dec 2025 |
| F278 |
Medium |
abrdn SICAV I - Short Dated Enhanced Income Fund (A Acc USD)
|
09 Oct 2025
|
USD |
11.6857 |
11.6857 |
30 Dec 2025 |
| T017 |
Medium |
abrdn SICAV I - Short Dated Enhanced Income Fund (A Gross MIncA USD) (Dis)
|
09 Oct 2025
|
USD |
10.2718 |
10.2718 |
30 Dec 2025 |
| F277 |
Medium |
abrdn SICAV I - Diversified Income Fund (Class A Acc USD)
|
09 Oct 2025
|
USD |
14.7527 |
14.7527 |
30 Dec 2025 |
| T010 |
Medium |
abrdn SICAV I - Diversified Income Fund (Class A Gross MInc USD) (Dis)
|
25 Nov 2024
|
USD |
9.7526 |
9.7526 |
30 Dec 2025 |
| F234 |
High |
Allianz Global Artificial Intelligence (AT-Acc (USD))
|
31 Mar 2017
|
USD |
34.3459 |
34.3459 |
30 Dec 2025 |
| F220 |
Medium |
Allianz Global Investors Fund - Allianz Balanced Income and Growth (AT-Acc (USD))
|
02 Oct 2017
|
USD |
14.9663 |
14.9663 |
30 Dec 2025 |
| F190 |
High |
Allianz Global Investors Fund - Allianz European Equity Dividend (AT-Acc)
|
10 Mar 2009
|
EUR |
396.1400 |
396.1400 |
30 Dec 2025 |
| F191 |
High |
Allianz Global Investors Fund - Allianz Global Hi-Tech Growth (A-Dis)
|
03 Oct 2008
|
USD |
76.0512 |
76.0512 |
30 Dec 2025 |
| F82 |
High |
Allianz Global Investors Fund - Allianz Hong Kong Equity (A-Dis)
|
03 Oct 2008
|
USD |
271.5192 |
271.5192 |
30 Dec 2025 |
| F147 |
High |
Allianz Global Investors Fund - Allianz Hong Kong Equity (AT-Acc)
|
17 Jun 2011
|
HKD |
13.8533 |
13.8533 |
30 Dec 2025 |
| F192 |
Medium |
Allianz Global Investors Fund - Allianz Income and Growth (AT-Acc)
|
18 Nov 2011
|
USD |
29.1452 |
29.1452 |
30 Dec 2025 |
| T001 |
Medium |
Allianz Global Investors Fund - Allianz Income and Growth - Class AM (USD) (Dis)
|
20 Oct 2021
|
USD |
8.4942 |
8.4942 |
30 Dec 2025 |
| F81 |
High |
Allianz Global Investors Fund - Allianz Little Dragons (A-Dis)
|
03 Oct 2008
|
USD |
129.6895 |
129.6895 |
30 Dec 2025 |
| F87 |
High |
Allianz Global Investors Fund - Allianz Oriental Income (A-Dis)
|
03 Oct 2008
|
USD |
256.6300 |
256.6300 |
30 Dec 2025 |
| F85 |
High |
Allianz Global Investors Fund - Allianz Total Return Asian Equity (A-Dis)
|
03 Oct 2008
|
USD |
42.6321 |
42.6321 |
30 Dec 2025 |
| F172 |
Medium |
Allianz Global Investors Fund - Allianz US High Yield (AT-Acc Shares)
|
21 Oct 2011
|
USD |
16.6667 |
16.6667 |
30 Dec 2025 |
| F84 |
Medium |
Allianz Global Investors Fund - Allianz Asia Pacific Income (A-Dis)
|
03 Oct 2008
|
USD |
6.1816 |
6.1816 |
30 Dec 2025 |
| F263 |
High |
Allianz Pet and Animal Wellbeing (AT-Acc USD)
|
24 Jun 2022
|
USD |
7.5149 |
7.5149 |
30 Dec 2025 |
| F270 |
High |
Barings Eastern Europe Fund
|
21 Jul 2023
|
USD |
62.7700 |
62.7700 |
30 Dec 2025 |
| F196 |
High |
Barings Europe Select Trust (Class A USD Acc)
|
16 Dec 2013
|
USD |
76.6600 |
76.6600 |
30 Dec 2025 |
| F156 |
High |
Barings German Growth Trust (Class A GBP Acc)
|
08 May 1990
|
GBP |
14.1300 |
14.1300 |
30 Dec 2025 |
| F103 |
Medium |
Barings Global Bond Fund
|
07 Jul 1978
|
USD |
21.2900 |
21.2900 |
30 Dec 2025 |
| F100 |
High |
Barings Hong Kong China Fund
|
03 Dec 1982
|
USD |
1,317.0700 |
1,317.0700 |
30 Dec 2025 |
| F148 |
High |
Barings International Umbrella Fund - Barings ASEAN Frontiers Fund (Class A)
|
01 Aug 2008
|
USD |
278.9700 |
278.9700 |
30 Dec 2025 |
| F150 |
High |
Barings International Umbrella Fund - Barings Australia Fund (Class A)
|
04 Dec 1981
|
USD |
145.6500 |
145.6500 |
30 Dec 2025 |
| F272 |
High |
Barings Investment Umbrella Fund - Barings Global Agriculture Fund (Class A USD Hedged Acc)
|
05 Feb 2024
|
USD |
3.0860 |
3.0860 |
30 Dec 2025 |
| F101 |
High |
Barings Korea Feeder Fund
|
04 Nov 1992
|
USD |
35.1400 |
35.1400 |
30 Dec 2025 |
| F271 |
Medium |
Barings Umbrella Fund plc - Barings Global Senior Secured Bond Fund (Tranche G USD Acc)
|
05 Feb 2024
|
USD |
136.7500 |
136.7500 |
30 Dec 2025 |
| T007 |
Medium |
Barings Umbrella Fund plc - Barings Global Senior Secured Bond Fund (Tranche G USD Dist Monthly) (Dis)
|
05 Feb 2024
|
USD |
78.3700 |
78.3700 |
30 Dec 2025 |
| F205 |
High |
BlackRock Global Funds - Asian Growth Leaders Fund (A2 Shares)
|
31 Oct 2012
|
USD |
26.6700 |
26.6700 |
30 Dec 2025 |
| F121 |
Medium |
BlackRock Global Funds - Asian Tiger Bond Fund (A2 Shares)
|
02 Feb 1996
|
USD |
44.6500 |
44.6500 |
30 Dec 2025 |
| F129 |
High |
BlackRock Global Funds - China Fund (A2 Shares)
|
24 Jun 2008
|
USD |
20.7200 |
20.7200 |
30 Dec 2025 |
| F92 |
Medium |
BlackRock Global Funds - Emerging Markets Local Currency Bond Fund (A2 Shares)
|
02 Feb 2007
|
USD |
27.6900 |
27.6900 |
30 Dec 2025 |
| F256 |
High |
BlackRock Global Funds - Future of Transport Fund (A2 Shares)
|
19 Mar 2021
|
USD |
15.2900 |
15.2900 |
30 Dec 2025 |
| F130 |
Medium |
BlackRock Global Funds - Global Allocation Fund (A2 Shares)
|
03 Jan 1997
|
USD |
93.3600 |
93.3600 |
30 Dec 2025 |
| F166 |
Medium |
BlackRock Global Funds - Global Corporate Bond Fund (A2 Shares)
|
19 Oct 2007
|
USD |
16.1900 |
16.1900 |
30 Dec 2025 |
| F167 |
Medium |
BlackRock Global Funds - Global High Yield Bond Fund (A2 Shares)
|
08 Jun 2007
|
USD |
33.5400 |
33.5400 |
30 Dec 2025 |
| F131 |
High |
BlackRock Global Funds - Latin American Fund (A2 Shares)
|
08 Jan 1997
|
USD |
76.8700 |
76.8700 |
30 Dec 2025 |
| F265 |
High |
BlackRock Global Funds - Next Generation Technology Fund (Class A2)
|
24 Jun 2022
|
USD |
25.4500 |
25.4500 |
30 Dec 2025 |
| F257 |
High |
BlackRock Global Funds - Sustainable Energy Fund (A2 Shares)
|
19 Mar 2021
|
USD |
20.9200 |
20.9200 |
30 Dec 2025 |
| F279 |
Medium |
BlackRock Global Funds - US Dollar High Yield Bond Fund (Class A2 USD)
|
09 Oct 2025
|
USD |
45.2300 |
45.2300 |
30 Dec 2025 |
| T018 |
Medium |
BlackRock Global Funds - US Dollar High Yield Bond Fund (Class A6 USD) (Dis)
|
09 Oct 2025
|
USD |
4.4200 |
4.4200 |
30 Dec 2025 |
| F157 |
Medium |
BlackRock Global Funds - US Dollar High Yield Bond Fund - Hedged (AUD) (A2-shares)
|
04 Mar 2011
|
AUD |
21.0600 |
21.0600 |
30 Dec 2025 |
| F236 |
Medium |
BlackRock Global Funds - US Dollar Short Duration Bond Fund (A2 Shares)
|
31 Oct 2002
|
USD |
15.5100 |
15.5100 |
30 Dec 2025 |
| F89 |
High |
BlackRock Global Funds - World Energy Fund (A2 Shares)
|
06 Apr 2001
|
USD |
26.5900 |
26.5900 |
30 Dec 2025 |
| F221 |
High |
BlackRock Global Funds - World Financials Fund (A2 Shares)
|
03 Mar 2000
|
USD |
77.7100 |
77.7100 |
30 Dec 2025 |
| F90 |
High |
BlackRock Global Funds - World Gold Fund (A2 Shares)
|
30 Dec 1994
|
USD |
100.2900 |
100.2900 |
30 Dec 2025 |
| F201 |
Medium |
BlackRock Global Funds - World Healthscience Fund (A2 Shares)
|
06 Apr 2001
|
USD |
75.1500 |
75.1500 |
30 Dec 2025 |
| F91 |
High |
BlackRock Global Funds - World Mining Fund (A2 Shares)
|
24 Mar 1997
|
USD |
96.1800 |
96.1800 |
30 Dec 2025 |
| F274 |
High |
BlackRock Global Funds - Emerging Markets Ex-China Fund (A2 Shares)
|
18 Jun 2024
|
USD |
93.5400 |
93.5400 |
30 Dec 2025 |
| T008 |
High |
BlackRock Global Funds - Future of Transport Fund (A10 Shares) (Dis)
|
05 Feb 2024
|
USD |
9.5300 |
9.5300 |
30 Dec 2025 |
| F235 |
High |
BlackRock Global Funds - Systematic China A-Shares Opportunities Fund (A2 Shares)
|
26 Oct 2017
|
USD |
14.0000 |
14.0000 |
30 Dec 2025 |
| F273 |
Medium |
BlackRock Global Funds - Systematic Global Equity High Income Fund (A2 Shares)
|
05 Feb 2024
|
USD |
24.6600 |
24.6600 |
30 Dec 2025 |
| T009 |
Medium |
BlackRock Global Funds - Systematic Global Equity High Income Fund (A6 Shares) (Dis)
|
05 Feb 2024
|
USD |
9.3500 |
9.3500 |
30 Dec 2025 |
| F218 |
Medium |
BNP Paribas A Fund Income Focus (Classic USD - Cap)
|
22 Sep 2017
|
USD |
140.9400 |
140.9400 |
29 Dec 2025 |
| F280 |
High |
BNP Paribas Funds Aqua (Classic RH USD - Capitalization)
|
09 Oct 2025
|
USD |
224.6900 |
224.6900 |
29 Dec 2025 |
| T011 |
High |
BNP Paribas Funds Aqua (Classic RH USD MD) (Dis)
|
25 Nov 2024
|
USD |
156.1500 |
156.1500 |
29 Dec 2025 |
| F137 |
High |
BNP Paribas Funds Brazil Equity (Classic Capitalisation Shares)
|
12 Dec 2006
|
USD |
94.9500 |
94.9500 |
29 Dec 2025 |
| F105 |
High |
BNP Paribas Funds China Equity (Classic Capitalisation Shares)
|
17 May 2013
|
USD |
496.0900 |
496.0900 |
29 Dec 2025 |
| F195 |
High |
BNP Paribas Funds Consumer Innovators (Classic USD Capitalisation Shares)
|
23 Jan 2015
|
USD |
399.5400 |
399.5400 |
29 Dec 2025 |
| F110 |
Medium |
BNP Paribas Funds Emerging Bond Opportunities (Classic Capitalisation Shares)
|
17 May 2013
|
USD |
240.2900 |
240.2900 |
29 Dec 2025 |
| T002 |
Medium |
BNP Paribas Funds Emerging Bond Opportunities - (Classic MD) (USD) (Dis)
|
20 Oct 2021
|
USD |
10.7900 |
10.7900 |
29 Dec 2025 |
| F264 |
High |
BNP Paribas Funds Clean Energy Solutions - Classic (USD) (Cap)
|
24 Jun 2022
|
USD |
93.4800 |
93.4800 |
29 Dec 2025 |
| F179 |
High |
BNP Paribas Funds Asia ex-Japan Equity (Classic USD Capitalisation Shares)
|
17 May 2013
|
USD |
192.6100 |
192.6100 |
29 Dec 2025 |
| F107 |
Medium |
BNP Paribas Funds Sustainable Asian Cities Bond (Classic USD Capitalisation Shares)
|
17 May 2013
|
USD |
164.3600 |
164.3600 |
29 Dec 2025 |
| F194 |
High |
BNP Paribas Funds US Mid Cap (Classic USD - Capitalisation Shares)
|
31 Jan 2006
|
USD |
385.6300 |
385.6300 |
29 Dec 2025 |
| F144 |
High |
CCB International Fund Series - CCB International - China Policy Driven Fund
|
21 Jan 2009
|
HKD |
8.5800 |
8.5800 |
30 Dec 2025 |
| FIAMFA |
High |
Fidelity Funds - America Fund ("A" Shares)
|
01 Oct 1990
|
USD |
17.9700 |
17.9700 |
30 Dec 2025 |
| FIASEF |
High |
Fidelity Funds - ASEAN Fund ("A" Shares)
|
01 Oct 1990
|
USD |
39.1100 |
39.1100 |
30 Dec 2025 |
| FIAPFA |
High |
Fidelity Funds - Asia Pacific Dividend Fund ("A" Shares)
|
16 Dec 2004
|
USD |
36.3400 |
36.3400 |
30 Dec 2025 |
| F173 |
Medium |
Fidelity Funds - Asian High Yield Fund (A-Acc-USD)
|
02 Apr 2007
|
USD |
15.9700 |
15.9700 |
30 Dec 2025 |
| FIASSF |
High |
Fidelity Funds - Asian Special Situations Fund ("A" Shares)
|
03 Oct 1994
|
USD |
70.4700 |
70.4700 |
30 Dec 2025 |
| FIAUSA |
High |
Fidelity Funds - Australian Diversified Equity Fund ("A" Shares)
|
06 Dec 1991
|
AUD |
99.0200 |
99.0200 |
30 Dec 2025 |
| F197 |
High |
Fidelity Funds - China Consumer Fund (A-Acc-USD)
|
23 Feb 2011
|
USD |
16.6700 |
16.6700 |
30 Dec 2025 |
| FICFFA |
High |
Fidelity Funds - China Focus Fund ("A" Shares)
|
18 Aug 2003
|
USD |
75.8300 |
75.8300 |
30 Dec 2025 |
| F120 |
High |
Fidelity Funds - China Innovation Fund ("A-ACC-HKD" Shares)
|
31 May 2010
|
HKD |
15.8000 |
15.8000 |
30 Dec 2025 |
| F59 |
High |
Fidelity Funds - Emerging Asia Fund ("A-Acc-USD" Shares)
|
21 Apr 2008
|
USD |
28.6900 |
28.6900 |
30 Dec 2025 |
| FIEEME |
High |
Fidelity Funds - Emerging Europe, Middle East and Africa Fund ("A-Acc-USD" Shares)
|
11 Jun 2007
|
USD |
18.5300 |
18.5300 |
30 Dec 2025 |
| FIEMEA |
High |
Fidelity Funds - Emerging Markets Fund ("A" Shares)
|
18 Oct 1993
|
USD |
39.3800 |
39.3800 |
30 Dec 2025 |
| FIEGFA |
High |
Fidelity Funds - European Growth Fund ("A" Shares)
|
01 Oct 1990
|
EUR |
21.7800 |
21.7800 |
30 Dec 2025 |
| F174 |
Medium |
Fidelity Funds - Global Dividend Fund (A-Acc-USD)
|
04 May 2012
|
USD |
32.8600 |
32.8600 |
30 Dec 2025 |
| FIFINA |
High |
Fidelity Funds - Global Financial Services Fund ("A" Shares)
|
01 Sep 2000
|
EUR |
71.2800 |
71.2800 |
30 Dec 2025 |
| F222 |
Medium |
Fidelity Funds - Global Multi Asset Income Fund (“A-Acc-USD” Shares)
|
27 Mar 2013
|
USD |
14.9500 |
14.9500 |
30 Dec 2025 |
| FITECA |
High |
Fidelity Funds - Global Technology Fund ("A" Shares)
|
01 Sep 1999
|
EUR |
80.7800 |
80.7800 |
30 Dec 2025 |
| FIINFA |
High |
Fidelity Funds - Global Thematic Opportunities Fund ("A" Shares)
|
31 Dec 1991
|
USD |
93.3300 |
93.3300 |
30 Dec 2025 |
| FIIFFA |
High |
Fidelity Funds - India Focus Fund ("A" Shares)
|
23 Aug 2004
|
USD |
82.5600 |
82.5600 |
30 Dec 2025 |
| F275 |
High |
Fidelity Funds - Japan Value Fund ("A2-JPY" Shares)
|
19 May 2025
|
JPY |
9,576.7000 |
9,576.7000 |
30 Dec 2025 |
| FIPACA |
High |
Fidelity Funds - Pacific Fund ("A" Shares)
|
10 Jan 1994
|
USD |
52.9900 |
52.9900 |
30 Dec 2025 |
| F50 |
High |
Fidelity Funds - Asia Equity ESG Fund ("A" Shares)
|
01 Oct 1990
|
USD |
13.3500 |
13.3500 |
30 Dec 2025 |
| FIBLUA |
High |
Fidelity Funds - Europe Equity ESG Fund (“A” Shares)
|
30 Sep 1998
|
EUR |
30.5100 |
30.5100 |
30 Dec 2025 |
| T012 |
Medium |
Fidelity Funds - US Dollar Bond Fund (Class A-MCDIST(G)-USD) (Dis)
|
25 Nov 2024
|
USD |
7.7550 |
7.7550 |
30 Dec 2025 |
| F281 |
Medium |
Fidelity Funds - US Dollar Bond Fund (Class A-USD)
|
09 Oct 2025
|
USD |
7.2250 |
7.2250 |
30 Dec 2025 |
| F113 |
Low |
Fidelity Funds - US Dollar Cash Fund ("A-Acc-USD" Shares)
|
25 Sep 2006
|
USD |
13.2286 |
13.2286 |
30 Dec 2025 |
| F223 |
Medium |
First Sentier Global Listed Infrastructure Fund - (Class I)
|
22 Feb 2016
|
USD |
19.1959 |
19.1959 |
30 Dec 2025 |
| TEMBIO |
High |
Franklin Biotechnology Discovery Fund ("A-Acc" Shares)
|
03 Apr 2000
|
USD |
59.0900 |
59.0900 |
30 Dec 2025 |
| F60 |
High |
Franklin MENA Fund ("A-Acc" Shares)
|
16 Jun 2008
|
USD |
10.8000 |
10.8000 |
30 Dec 2025 |
| F224 |
High |
Franklin Technology Fund (Class A (acc))
|
03 Apr 2000
|
USD |
61.2500 |
61.2500 |
30 Dec 2025 |
| F282 |
Medium |
Franklin Templeton Investment Funds - Franklin Income Fund (Class A (acc) USD)
|
09 Oct 2025
|
USD |
15.7600 |
15.7600 |
30 Dec 2025 |
| T019 |
Medium |
Franklin Templeton Investment Funds - Franklin Income Fund (Class A (Mdis) USD) (Dis)
|
09 Oct 2025
|
USD |
9.8300 |
9.8300 |
30 Dec 2025 |
| F202 |
High |
FSSA Asian Growth Fund - (Class I Acc)
|
05 Aug 1999
|
USD |
69.7477 |
69.7477 |
30 Dec 2025 |
| F203 |
High |
FSSA China Focus Fund - (Class I Acc)
|
30 Jan 2008
|
USD |
14.8791 |
14.8791 |
30 Dec 2025 |
| F237 |
High |
FSSA China Growth Fund - (Class I Acc)
|
17 Aug 1999
|
USD |
197.9048 |
197.9048 |
30 Dec 2025 |
| F193 |
High |
Haitong Greater China Vision Fund - Class A (HKD)
|
10 May 1989
|
HKD |
59.0800 |
59.0800 |
30 Dec 2025 |
| F259 |
Medium |
HSBC All China Bond Fund (Class AC-USD)
|
24 Jan 2022
|
USD |
9.5880 |
9.5880 |
30 Dec 2025 |
| T005 |
Medium |
HSBC Asian High Yield Bond (Class AM2-USD) (Dis)
|
24 Jun 2022
|
USD |
4.7860 |
4.7860 |
30 Dec 2025 |
| F260 |
Medium |
HSBC Asian High Yield Bond Fund (Class AC-USD)
|
24 Jan 2022
|
USD |
13.2540 |
13.2540 |
30 Dec 2025 |
| F261 |
High |
HSBC Evolving Asia Equity Fund (Class AC-USD)
|
24 Jan 2022
|
USD |
11.0350 |
11.0350 |
30 Dec 2025 |
| F283 |
Medium |
HSBC Global Investment Funds - India Fixed Income (Class AC)
|
09 Oct 2025
|
USD |
13.9340 |
13.9340 |
20 Oct 2025 |
| T013 |
Medium |
HSBC Global Investment Funds - India Fixed Income (Class AM2) (Dis)
|
25 Nov 2024
|
USD |
5.9220 |
5.9220 |
30 Dec 2025 |
| F262 |
Medium |
HSBC Global Investment Funds - Global Corporate Bond Climate Transition (Class AC)
|
24 Jan 2022
|
USD |
11.9410 |
11.9410 |
30 Dec 2025 |
| F284 |
Low |
HSBC Global Money Funds - US Dollar (Class C)
|
09 Oct 2025
|
USD |
1.1864 |
1.1864 |
22 Oct 2025 |
| F239 |
Medium |
Income Partners Managed Volatility High Yield Bond Fund - Class 2G Acc (USD Hedged)
|
13 Oct 2015
|
USD |
95.6400 |
95.6400 |
29 Dec 2025 |
| INVAEC |
High |
Invesco Asian Equity Fund ("A" Shares)
|
07 Sep 2018
|
USD |
15.1400 |
15.1400 |
30 Dec 2025 |
| T014 |
High |
Invesco Asian Equity Fund (Class A monthly distribution-1 - USD) (Dis)
|
25 Nov 2024
|
USD |
12.7700 |
12.7700 |
30 Dec 2025 |
| F240 |
Medium |
Invesco Asian Flexible Bond Fund (A-Acc Shares)
|
15 Dec 2011
|
USD |
13.7853 |
13.7853 |
30 Dec 2025 |
| F258 |
High |
Invesco China Health Care Equity Fund (A (USD Hgd)-Acc Shares)
|
24 Jan 2022
|
USD |
5.5600 |
5.5600 |
30 Dec 2025 |
| F169 |
High |
Invesco China New Perspective Equity Fund - Class A (Acc - HK$) Shares
|
07 Sep 2018
|
HKD |
482.5200 |
482.5200 |
30 Dec 2025 |
| INVENE |
High |
Invesco Energy Transition Enablement Fund ("A" Shares)
|
01 Feb 2001
|
USD |
10.3400 |
10.3400 |
30 Dec 2025 |
| F206 |
High |
Invesco Funds - Invesco Sustainable Pan European Systematic Equity Fund (USD Hedged Acc "A" Shares)
|
23 Jul 2014
|
USD |
23.6400 |
23.6400 |
30 Dec 2025 |
| F216 |
High |
Invesco Global Consumer Trends Fund (“A” Shares)
|
03 Oct 1994
|
USD |
94.2500 |
94.2500 |
30 Dec 2025 |
| F285 |
High |
Invesco Global Equity Income Fund (Class A accumulation - USD)
|
09 Oct 2025
|
USD |
142.7900 |
142.7900 |
30 Dec 2025 |
| T015 |
High |
Invesco Global Equity Income Fund (Class A monthly distribution-1 - USD) (Dis)
|
25 Nov 2024
|
USD |
13.7100 |
13.7100 |
30 Dec 2025 |
| INVHEL |
Medium |
Invesco Global Health Care Innovation Fund ("A" Shares)
|
07 Sep 2018
|
USD |
212.1100 |
212.1100 |
30 Dec 2025 |
| INVLAN |
High |
Invesco Global Income Real Estate Securities Fund ("A" Shares)
|
31 Oct 2008
|
USD |
14.7400 |
14.7400 |
30 Dec 2025 |
| INVGCH |
High |
Invesco Greater China Equity Fund ("A" Shares)
|
15 Jul 1992
|
USD |
79.5900 |
79.5900 |
30 Dec 2025 |
| F249 |
Medium |
Janus Henderson Global Life Sciences Fund - Class A$acc
|
21 Aug 2020
|
USD |
63.2700 |
63.2700 |
30 Dec 2025 |
| F238 |
High |
Janus Henderson Horizon Asian Dividend Income Fund - A2 Acc USD
|
26 Oct 2006
|
USD |
26.9800 |
26.9800 |
30 Dec 2025 |
| F119 |
High |
Janus Henderson Horizon Fund - China Opportunities Fund
|
25 Jan 2008
|
USD |
19.8600 |
19.8600 |
30 Dec 2025 |
| F213 |
High |
Janus Henderson Horizon Fund - Pan European Property Equities Fund (Class A Hedged USD)
|
13 Jun 2014
|
USD |
42.5800 |
42.5800 |
30 Dec 2025 |
| F250 |
High |
Janus Henderson Horizon Global Property Equities Fund - A2 Acc USD
|
21 Aug 2020
|
USD |
26.7700 |
26.7700 |
30 Dec 2025 |
| F286 |
High |
JPMorgan Asia Equity High Income Fund ((acc) - USD class)
|
09 Oct 2025
|
USD |
61.3100 |
61.3100 |
30 Dec 2025 |
| T020 |
High |
JPMorgan Asia Equity High Income Fund ((mth) - USD class) (Dis)
|
09 Oct 2025
|
USD |
11.7500 |
11.7500 |
30 Dec 2025 |
| F158 |
Medium |
JPMorgan Asian Total Return Bond Fund (Acc Shares)
|
02 Apr 2012
|
USD |
13.5100 |
13.5100 |
30 Dec 2025 |
| F242 |
High |
JPMorgan China Income Fund (Acc Shares)
|
22 Jun 2009
|
USD |
21.3200 |
21.3200 |
30 Dec 2025 |
| F225 |
High |
JPMorgan China Pioneer A-Share Fund
|
19 Jun 2006
|
USD |
60.4200 |
60.4200 |
30 Dec 2025 |
| F214 |
Medium |
JPMorgan Funds - Asia Pacific Income Fund (A-Acc-USD)
|
31 Mar 2005
|
USD |
30.8200 |
30.8200 |
30 Dec 2025 |
| F139 |
High |
JPMorgan Funds - Global Natural Resources Fund (A-Acc Shares)
|
12 Sep 2006
|
USD |
19.3200 |
19.3200 |
30 Dec 2025 |
| F140 |
High |
JPMorgan Funds - Greater China Fund (A-Acc Shares)
|
31 Mar 2005
|
USD |
57.4800 |
57.4800 |
30 Dec 2025 |
| F143 |
High |
JPMorgan Funds - Taiwan Fund(A-Acc Shares)
|
31 Mar 2005
|
USD |
62.1100 |
62.1100 |
30 Dec 2025 |
| F246 |
High |
Matthews Asia Funds - China Discovery Fund (Class A Acc USD)
|
30 Aug 2019
|
USD |
25.0900 |
25.0900 |
30 Dec 2025 |
| F77 |
High |
Ninety One GSF Asian Equity Fund (A-Inc Shares)
|
01 Jun 1984
|
USD |
60.4000 |
60.4000 |
30 Dec 2025 |
| F75 |
High |
Ninety One GSF Global Gold Fund (A-Inc Shares)
|
26 Nov 1990
|
USD |
209.8000 |
209.8000 |
30 Dec 2025 |
| F78 |
High |
Ninety One GSF Global Strategic Equity Fund (A-Acc Shares)
|
29 Jun 2007
|
USD |
56.9300 |
56.9300 |
30 Dec 2025 |
| F251 |
High |
Ninety One GSF Global Franchise Fund (A Acc USD Hdg (Port - AC))
|
21 Aug 2020
|
USD |
58.3900 |
58.3900 |
30 Dec 2025 |
| F80 |
Medium |
Ninety One GSF Global Strategic Managed Fund (A-Acc Shares)
|
22 Jun 2005
|
USD |
196.4900 |
196.4900 |
30 Dec 2025 |
| F226 |
Medium |
PIMCO Global Bond Fund (Class E Acc)
|
31 Mar 2006
|
USD |
31.8000 |
31.8000 |
30 Dec 2025 |
| F227 |
Medium |
PIMCO Global High Yield Bond Fund (Class E Acc)
|
11 Sep 2006
|
USD |
28.6900 |
28.6900 |
30 Dec 2025 |
| F112 |
Medium |
PIMCO Total Return Bond Fund (Class E Accumulation)
|
31 Mar 2006
|
USD |
28.9500 |
28.9500 |
30 Dec 2025 |
| F252 |
High |
PineBridge Asia ex Japan Small Cap Equity Fund - Class A USD
|
21 Aug 2020
|
USD |
42.5308 |
42.5308 |
30 Dec 2025 |
| F248 |
Medium |
PineBridge Global Dynamic Asset Allocation Fund - Class A USD
|
30 Aug 2019
|
USD |
27.1228 |
27.1228 |
30 Dec 2025 |
| T003 |
Medium |
PineBridge Global Funds - PineBridge Global Dynamic Asset Allocation Fund - Class ADC (USD) (Dis)
|
20 Oct 2021
|
USD |
8.4786 |
8.4786 |
30 Dec 2025 |
| F228 |
High |
PineBridge Global Funds - PineBridge Global Focus Equity Fund - Class A USD
|
09 Dec 2003
|
USD |
61.9794 |
61.9794 |
30 Dec 2025 |
| F229 |
High |
PineBridge Global Funds - PineBridge India Equity Fund - Class A USD
|
12 Sep 2005
|
USD |
91.4321 |
91.4321 |
30 Dec 2025 |
| F215 |
Medium |
Principal Global Investors Funds - Preferred Securities Fund (A-Acc-USD)
|
28 Mar 2012
|
USD |
19.5700 |
19.5700 |
24 Dec 2025 |
| F134 |
High |
Principal Life Style Fund - Principal China Equity Fund
|
29 Jun 2007
|
HKD |
15.4715 |
15.4715 |
29 Dec 2025 |
| F135 |
High |
Principal Life Style Fund - Principal Hong Kong Equity Fund
|
01 Nov 2005
|
HKD |
38.1285 |
38.1285 |
29 Dec 2025 |
| F230 |
High |
Schroder China Equity Alpha Fund (A-Acc Shares)
|
08 Mar 2013
|
USD |
314.7700 |
314.7700 |
30 Dec 2025 |
| F68 |
High |
Schroder International Selection Fund ("ISF") - BIC (Brazil, India, China) Fund (A1-Acc Shares)
|
31 Oct 2005
|
USD |
254.8794 |
254.8794 |
30 Dec 2025 |
| F69 |
High |
Schroder International Selection Fund ("ISF") - Global Climate Change Equity Fund (A1-Acc Shares)
|
29 Jun 2007
|
USD |
26.7199 |
26.7199 |
30 Dec 2025 |
| F70 |
High |
Schroder International Selection Fund ("ISF") - Global Emerging Market Opportunities Fund (A1-Acc Shares)
|
19 Jan 2007
|
USD |
25.3454 |
25.3454 |
30 Dec 2025 |
| F72 |
Medium |
Schroder International Selection Fund ("ISF") - Global Inflation Linked Bond Fund (A1-Acc Shares)
|
28 Nov 2003
|
EUR |
25.3134 |
25.3134 |
30 Dec 2025 |
| F67 |
High |
Schroder International Selection Fund ("ISF") - Greater China Fund (A1-Acc Shares)
|
26 Feb 2003
|
USD |
84.6069 |
84.6069 |
30 Dec 2025 |
| F146 |
Medium |
Schroder International Selection Fund ("ISF") - Hong Kong Dollar Bond (A1-Acc Shares)
|
09 Aug 2002
|
HKD |
21.1399 |
21.1399 |
30 Dec 2025 |
| F66 |
High |
Schroder International Selection Fund ("ISF") - Hong Kong Equity Fund (A1-Acc Shares)
|
09 Aug 2002
|
HKD |
437.3622 |
437.3622 |
30 Dec 2025 |
| F126 |
High |
Schroder International Selection Fund ("ISF") - Taiwanese Equity (A1-Acc Shares)
|
18 Jan 2008
|
USD |
48.9745 |
48.9745 |
30 Dec 2025 |
| F198 |
Medium |
Schroder International Selection Fund ("ISF") - Global Multi-Asset Income (A1-Acc Shares)
|
18 Apr 2012
|
USD |
154.3550 |
154.3550 |
30 Dec 2025 |
| F71 |
Medium |
Schroder International Selection Fund - Asian Bond Total Return (A1-Acc Shares)
|
31 May 2002
|
USD |
15.5586 |
15.5586 |
30 Dec 2025 |
| F253 |
Medium |
T. Rowe Price Diversified Income Bond Fund - Class A USD
|
21 Aug 2020
|
USD |
13.2300 |
13.2300 |
30 Dec 2025 |
| F266 |
High |
T. Rowe Price Frontier Markets Equity Fund - Class A USD
|
24 Jun 2022
|
USD |
19.0500 |
19.0500 |
30 Dec 2025 |
| F267 |
Medium |
T. Rowe Price Global High Income Bond Fund - Class A USD
|
24 Jun 2022
|
USD |
15.4700 |
15.4700 |
30 Dec 2025 |
| T006 |
Medium |
T. Rowe Price Global High Income Bond Fund - Class Ax USD (Dis)
|
24 Jun 2022
|
USD |
7.4600 |
7.4600 |
30 Dec 2025 |
| F254 |
High |
T. Rowe Price US Large Cap Growth Equity Fund - Class A USD
|
21 Aug 2020
|
USD |
112.8100 |
112.8100 |
30 Dec 2025 |
| F255 |
High |
T. Rowe Price US Smaller Companies Equity Fund - Class A USD
|
21 Aug 2020
|
USD |
87.3500 |
87.3500 |
30 Dec 2025 |
| TEMASG |
High |
Templeton Asian Growth Fund ("A-Acc" Shares)
|
14 May 2001
|
USD |
46.9400 |
46.9400 |
30 Dec 2025 |
| F168 |
High |
Templeton Asian Smaller Companies Fund ("A-Acc" Shares)
|
14 Oct 2008
|
USD |
68.1100 |
68.1100 |
30 Dec 2025 |
| TEMBRC |
High |
Templeton BIC Fund (“A-Acc” Shares)
|
25 Oct 2005
|
USD |
26.5900 |
26.5900 |
30 Dec 2025 |
| TEMEAE |
High |
Templeton Eastern Europe Fund ("A-Acc" Shares)
|
10 Nov 1997
|
EUR |
19.2100 |
19.2100 |
30 Dec 2025 |
| TEMEME |
High |
Templeton Emerging Markets Fund ("A-Acc" Shares)
|
14 May 2001
|
USD |
66.3800 |
66.3800 |
30 Dec 2025 |
| F127 |
Medium |
Templeton Global Bond Fund ("A-Acc" Shares)
|
28 Apr 2006
|
USD |
27.6000 |
27.6000 |
30 Dec 2025 |
| TEMINC |
Medium |
Templeton Global Income Fund ("A-Acc" Shares)
|
27 May 2005
|
USD |
24.5900 |
24.5900 |
30 Dec 2025 |
| F128 |
Medium |
Templeton Global Total Return Fund ("A-Acc" Shares)
|
29 Aug 2003
|
USD |
27.5100 |
27.5100 |
30 Dec 2025 |
| TEMLAT |
High |
Templeton Latin America Fund ("A-Dis" Shares)
|
28 Feb 1991
|
USD |
55.8300 |
55.8300 |
30 Dec 2025 |
| F208 |
Medium |
The Jupiter Global Fund - Jupiter Dynamic Bond (Class L Acc USD)
|
30 Apr 2013
|
USD |
14.3000 |
14.3000 |
30 Dec 2025 |
| F209 |
High |
The Jupiter Global Fund - Jupiter European Select (Class L Acc USD)
|
02 Oct 2013
|
USD |
31.1700 |
31.1700 |
30 Dec 2025 |
| F245 |
High |
The Jupiter Global Fund - Jupiter Financial Innovation (Class L Acc USD HSC)
|
30 Aug 2019
|
USD |
28.2600 |
28.2600 |
30 Dec 2025 |
| - |
- |
US Dollar Global Balanced Fund
|
14 Aug 2001
|
USD |
16.4112 |
16.7395 |
29 Dec 2025 |
| F204 |
High |
Value Partners China Greenchip Fund Limited (Class A)
|
08 Apr 2002
|
HKD |
90.4700 |
90.4700 |
30 Dec 2025 |
| F176 |
High |
Value Partners Classic Fund (C Units)
|
15 Oct 2009
|
USD |
27.4200 |
27.4200 |
30 Dec 2025 |
| F177 |
High |
Value Partners High-Dividend Stocks Fund (Class A1)
|
02 Sep 2002
|
USD |
135.3300 |
135.3300 |
30 Dec 2025 |
| F175 |
High |
Value Partners Intelligent Funds - China Convergence Fund
|
14 Jul 2000
|
USD |
218.7300 |
218.7300 |
30 Dec 2025 |
| F178 |
High |
Value Partners Taiwan Fund
|
03 Mar 2008
|
USD |
64.6900 |
64.6900 |
30 Dec 2025 |
| - |
Low |
Wealth Builder Cash Fund
|
20 Dec 2001
|
USD |
15.7212 |
16.5073 |
29 Dec 2025 |
| - |
High |
Wealth Builder Equity Fund
|
20 Dec 2001
|
USD |
56.8777 |
59.7216 |
29 Dec 2025 |
| - |
Medium |
Wealth Builder Income Fund
|
20 Dec 2001
|
USD |
12.3209 |
12.9370 |
29 Dec 2025 |
| - |
Medium |
Wealth Builder Mixed Asset Fund
|
20 Dec 2001
|
USD |
18.4820 |
19.4061 |
29 Dec 2025 |
| T016 |
Medium |
WMF III SICAV - Wellington Multi-Asset Income and Growth Fund (USD A M6 Distributing Unhedged) (Dis)
|
25 Nov 2024
|
USD |
8.2146 |
8.2146 |
30 Dec 2025 |
| F287 |
Medium |
WMF III SICAV - Wellington Multi-Asset Income and Growth Fund (USD A Accumulating)
|
09 Oct 2025
|
USD |
12.2812 |
12.2812 |
30 Dec 2025 |