Change 5-day change 1-year change 3-year change Capi.($)
-.--%+0.09% - - 0
+0.08%+1.09%+18.53%+100.92% 14.51B
+1.27%+4.10%+41.74%+124.37% 11.71B
+1.98%-2.62%-12.32%+24.05% 8.55B
+0.64%+1.95%+28.47%+116.75% 7.39B
-0.40%-1.80%-16.03%-15.37% 7.42B
+0.45%+3.55%+15.88%+60.29% 6.46B
0.00%-1.41%+9.52%+23.36% 4.73B
+0.77%+0.09%+12.95%+7.78% 4.15B
+0.23%-1.76% - - 3.64B
Average +0.43%-0.57%+12.34%+55.27% 7.62B
Weighted average by Cap. +0.51%+0.07%+14.56%+67.89%
Logo The Asia Pacific Fund, Inc.
The Asia Pacific Fund, Inc. (the Fund) is a diversified, closed-end, management investment company. The Fund's investment objective is to achieve long-term capital appreciation through investment of at least 80% of investable assets in equity securities of companies in the Asia Pacific countries. The Fund's portfolio of investments includes banking, materials, consumer discretionary, real estate, industrials, insurance, utilities, consumer staples, semiconductors and semiconductor equipment, telecommunication services, real estate investment trusts and information technology. The Fund invests in various regions, including Hong Kong, Taiwan, Korea, China, Singapore, Malaysia, Thailand, Indonesia, Philippines, Sri Lanka, India and Vietnam. The Fund's investment manager is Value Partners Hong Kong Limited.
Employees
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