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Manulife Investment Asia-Pacific ex Japan Fund

LSEG Lipper Fund Awards Malaysia 2026 Winner
Best Equity Asia Pacific ex Japan Fund Over 3 Years & Over 5 Years
Malaysia Provident Funds

Fund highlights

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History of strong investment performance

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Fund highlights

 

Capture regional growth opportunities

The Fund is committed to maximising long-term capital appreciation by strategically investing in a diversified portfolio across geographies and sectors.

Expert research & analysis

The company’s on-the-ground resources are critical in capturing real-time information from inefficient and idiosyncratic markets. The team believes that having localized teams in the key markets across Asia helps it overcome differences in culture, languages, and the way business is conducted throughout the Asia region.

Focus on fundamental drivers

A clearly defined, repeatable, time-tested investment framework that is adhered to by all members of the equity investment team from across the Asia region, ensuring that all members speak the same investment vernacular.

 

AP REITs_updated_071720

History of strong investment performance

 

The Fund has a history of strong investment performance, showcasing the effectiveness of our meticulous investment process. This track record highlights our commitment to delivering consistent returns and value to our investors.

 

Total net returns for period ending 28 February 2026 (%)

YTD: 17.33

3 year: 64.75

5 year: 44.51

10 year: 156.66

 

Source: Lipper. Past performance is not necessarily indicative of future performance. The performance is calculated on NAV-to-NAV basis.


NAV: Net asset value

 

 

The Fund has a history of strong investment performance, showcasing the effectiveness of our meticulous investment process. This track record highlights our commitment to delivering consistent returns and value to our investors.

Total net returns for period ending 28 February 2026 (%)



Source: Lipper. Past performance is not necessarily indicative of future performance.
The performance is calculated on NAV-to-NAV basis.

YTD

17.33

3 year

64.75

5 year

44.51

10 year

156.66


NAV: Net asset value


The above information may contain projections or other forward-looking statements regarding future events, targets, management discipline or other expectations. There is no assurance that such events will occur, and the future course may be significantly different from that shown here.

 

Disclaimer:
The award herein is granted by LSEG Lipper with whom we are not related to.
The LSEG Lipper Fund Awards, granted annually, highlight funds and fund companies that have excelled in delivering consistently strong risk-adjusted performance relative to their peers.
The LSEG Lipper Fund Awards are based on the Lipper Leader for Consistent Return rating, which is a risk-adjusted performance measure calculated over 36, 60 and 120 months. The fund with the highest Lipper Leader for Consistent Return (Effective Return) value in each eligible classification wins the LSEG Lipper Fund Award. For more information, see lipperfundawards.com Although LSEG makes reasonable efforts to ensure the accuracy and reliability of the data contained herein, the accuracy is not guaranteed by LSEG Lipper.

 

Contact your unit trust adviser or call our Customer Service at 03-2719 9271 for more information.

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