These products are managed by Tokio Marine Asset Management (International) Pte Ltd. located in Singapore.

Tokio Marine Fund - Far East Equity Portfolio

Strategy Highlights:

  • Offers stable performance with a controlled level of risk for investments in Far East ex Japan region
  • Proven Growth at a Reasonable Price (GARP) investment strategy with consistent track record
  • Ranked 1st in Mercer MPA Survey for 5 Years for returns, Reward to Risk Ratio and Information Ratio  ended 31 March 2011. (Universe: Asia ex Japan Equity - Far East ex Japan)

Investment Objective/Process:

The objective of the Fund is to achieve a return in excess of the MSCI AC Far East ex Japan Index in a stable manner and with a controlled level of risk, and to maximise long term growth by selectively investing in securities such as equities and linked bonds, either listed or to be listed, of the Asian (non-Japanese) equities markets.

Tokio Marine Asia Pacific Equity Fund

Strategy Highlights:

  • Offers stable performance with a controlled level of risk for investments in Asia Pacific ex Japan region
  • Proven Growth at a Reasonable Price (GARP) investment strategy with consistent track record
  • Managed by the same, proven Investment Team that manages the TMF - Far East Equity Portfolio

Investment Objective:

The objective of the Fund is to achieve a return in excess of the MSCI AC Asia Pacific ex Japan Index in a stable manner and within controlled level of risk. The Fund is a sub-fund of Tokio Marine Funds plc, an open-ended, umbrella UCITS fund.

TMA Asian Small to Mid Cap Equity Fund

Strategy Highlights:

  • Offers high investment returns in the medium- and long-terms through investments in small- to middle-cap equities in Asian countries
  • Proven Growth at a Reasonable Price (GARP) investment strategy with consistent track record
  • Managed by the same, proven Investment Team that manages the TMF - Far East Equity Portfolio

Investment Objective/Process:

The investment objective of the Fund is to achieve an absolute return for the Fund over the long term through investment mainly in listed or pre-flotation, and middle to small sized equities in Asian countries and the Asian region excluding Japan.