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Jpmorgan Pacific Technology (prc) (acc) - Rmb (0P0001IVX0)

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13.940 -0.260    -1.83%
20/02 - Closed. Currency in CNH
Type:  Fund
Market:  Hong Kong
Issuer:  摩根基金(亚洲)有限公司
ISIN:  HK0000555760 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 4.78B
JPMorgan Pacific Technology (PRC) (acc) - RMB 13.940 -0.260 -1.83%

0P0001IVX0 Holdings

 
Comprehensive information about top holdings and Key Holding Information for the JPMorgan Pacific Technology (PRC) (acc) - RMB (0P0001IVX0) fund. Our JPMorgan Pacific Technology (PRC) (acc) - RMB portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

Asset Allocation

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Name  Net %  Long %  Short %
Cash 0.540 1.990 1.450
Shares 99.470 99.470 0.000

 Style Box

Value & Growth Measures

Ratios Value Category Average
P/E Ratio 17.903 25.442
Price to Book 3.329 5.564
Price to Sales 2.069 4.809
Price to Cash Flow 7.020 16.080
Dividend Yield 1.237 0.830
5 Years Earnings Growth 15.970 13.977

Sector Allocation

Name  Net % Category Average
Technology 55.880 64.573
Consumer Cyclical 21.450 9.295
Communication Services 11.180 13.909
Industrials 8.860 7.208
Real Estate 1.610 1.753
Basic Materials 1.020 4.195

Region Allocation

  • Asia
  • Australasia
  • Emerging Markets
  • Developed Markets

Top Holdings

Number of long holdings: 276

Number of short holdings: 105

Name ISIN Weight % Last Change %
  Taiwan Semicon TW0002330008 5.86 1,095.00 +1.39%
  Sea US81141R1005 5.35 127.62 -3.92%
  Trip.com Group KYG9066F1019 4.46 512.50 +0.10%
  Tencent Holdings KYG875721634 4.40 517.00 +6.20%
  SK Hynix Inc KR7000660001 3.81 209,500 -1.18%
  Alibaba KYG017191142 3.31 138.50 +14.56%
  NAURA Technology CNE100000ML7 3.02 465.02 +1.98%
  BYD Co Ltd-H CNE100000296 2.99 392.40 +4.64%
  Nintendo JP3756600007 2.98 11,455.0 -0.30%
  Advantest Corp. JP3122400009 2.93 9,630.0 +0.52%

Top Equity Funds by JPMorgan Funds (Asia) Limited

  Name Rating Total Assets YTD% 3Y% 10Y%
  HK0000555752 4.78B 2.17 -5.79 -
  HK0000259660 4.12B 1.48 -4.46 -
  HK0000206067 1.38B -1.36 -10.52 3.35
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