Schroder Oriental Income Fund Limited (SOI)
A Select 50 Fund - Our view
Category Asia-Pacific ex-Japan Equity Income
This investment trust can be held in an Investment ISA, SIPP and Investment Account
Sell
266.00p
Buy
268.50p
-0.50p (-0.19%)
Discount/Premium
-6.47%
Estimated NAV
285.47p
Prices updated at 15 Nov 2024, 08:05 GMT
| Prices minimum 15 mins delay
Prices in GBX
Investment objective
To invest in a diversified portfolio of investments, primarily equities and equity-related investments, of companies which are based in, or derive a significant proportion of their revenues from the Asia Pacific region. The portfolio is diversified across a number of industries and a number of countries in that region. The portfolio may include government, quasi-government, corporate and high yield bonds and preferred shares.
Important documents: Please ensure that you have read the Key Information Document/Technical Guide
, Pre-sale Illustrations document & Doing Business with Fidelity document (incorporating the Fidelity Client Terms) and the fund information documents. These can be found within the Charges & documents section.
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- Our view
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- Dividends
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- Trust info
- Director info
Why we like the fund:
This is an investment trust, which gives the manager more freedom to invest than with an open-ended fund. For example, it can borrow money to invest and it does (albeit fairly modest amounts). It also owns smaller companies, which is something that an investment trust can do more comfortably because of its structure. This fund invests in companies across Asia, in countries like China, India and Australia, and it focuses on those that pay dividends. It is run by an Asia expert who has extensive relevant experience, with specialist expertise finding higher quality dividend payers. He is backed up by an experienced and large group of company analysts, many of whom are based in the region.
How to use the fund:
This is a good addition to any long-term investor's portfolio that seeks a combination of growth and income. We suggest a long-term view is taken - ten years plus - and that this fund is seen as one of the riskier allocations within a diversified portfolio.