Altamira

Altamira Japanese Opportunity Fund

Profile | Manager | Performance / Distributions | Print report (pdf)
Chart Price History | Top Holdings / Sector Weightings | Chart Performance
Quarterly Summary of Investment Portfolio | Fact Sheet (pdf) | MRFP
Investment Objectives

The Fund aims to achieve long-term capital growth primarily through investment in securities of Japanese issuers. The Fund invests mainly in common shares of Japanese issuers and issuers that have a significant business presence in Japan.

Who should invest in this Fund?

The Fund is ideal for the investor who has a long-term focus, can endure fluctuations in the Japanese economy and markets and a relatively high degree of volatility and looks to take advantage of the potential high returns associated with investing in a specific geographic region.

Fund Details

Fund Code: AIS 921
Type of Fund Global Equity
Date established 27/07/1994
Management Expense Ratio  2.76 %
Risk/Return Potential Fund Volatility relative to the Altamira Funds:

Fees This fund will assess a 2 percent early withdrawal fee upon redemption or exchange proceeds attributable to units purchased and held less than 30 days. Click here for more information.


For complete information on this fund, please refer to the Simplified Prospectus available in our Forms and Documents section.


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