Objective
To provide long-term capital growth by investing in a diversified portfolio of Asian and Australasian companies. The Company aims to achieve growth in its net asset value (NAV) total return in excess of the Benchmark Index, the MSCI AC Asia ex Japan Index (total return, net of withholding tax, in sterling terms).
Launch date
11/07/1995
Domicile
United Kingdom
Fund manager
Ian Hargreaves, Fiona Yang
Dividend frequency
Semi-Annually
Wind-up provisions
Every three years the future of the Company is subject to a continuation vote. The next one is due in September 2025.
Market Cap (m) Total assets (m) Price (last close) NAV Discount / premium (%) Gearing (%) Dividend yield (%) Dividend dates Ongoing charge (%)
216.83 252.64 336.00 379.57 -9.93 5 4.64 Apr, Nov 1.03 (30/04/2024)
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Dividends

Dividends declared in last 12 months

Ex-dividend date Payment date Dividend amount Special dividend Financial year
16/01/2025 31/01/2025 3.900 No 2025
07/11/2024 29/11/2024 7.800 No 2025
04/04/2024 23/04/2024 6.900 No 2024
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Performance (%)

Return type 1 year 3 years 5 years 10 years
Invesco Asia Trust Share price total return 24.3 13.7 56.1 147.9
Asia Pacific Equity Income AIC sector Share price total return 20.2 11.4 30.0 92.0
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Share structure

Number of shares
64,531,287

Traded volumes (number of shares)

  Yesterday 1 month 1 year 5 years
Total 61,612 1,260,074 19,814,822 103,893,849
Average N/A 61,095 77,883 82,327
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Traded values (m)

  Yesterday 1 month 1 year 5 years
Total 0.21 4.29 64.15 337.15
Average N/A 0.21 0.25 0.27
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Trading details

ISIN TIDM Traded currency Stock exchange
GB0004535307 IAT GBX London Stock Exchange - MAIN
Chi-x Europe Limited
London Stock Exchange
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Top holdings

Data as at : 31/12/2024

Investment % of total assets
Taiwan Semiconductor Manufacturing Co Ltd 10.2
Tencent Holdings Ltd 8.1
HDFC Bank Ltd 5.3
AIA Group Ltd 3.9
Kasikornbank Public Co Ltd 3.6
Samsung Electronics Co Ltd 3.2
NetEase Inc Ordinary Shares 3.0
Alibaba Group Holding Ltd Ordinary Shares 2.9
United Overseas Bank Ltd 2.5
Shriram Finance Ltd 2.3

Morningstar logo Data provided by Morningstar.

FE fundinfo logo Company documents provided by FE fundinfo.