The Fund aims to achieve long-term capital growth by investing in high quality companies. These companies should make a positive contribution to sustainable development within the countries in which they operate.
Aikya Emerging Markets Opportunities Fund
Fund Objective
Aikya Emerging Markets Opportunities Fund
Fund Objective
The Fund aims to achieve long-term capital growth by investing in high quality companies. These companies should make a positive contribution to sustainable development within the countries in which they operate.
Fund Information
Top Ten Holdings
Country Exposure
Bloomberg Classification
Sector Exposure
GICS Classification
Performance as at 31 July 2022
Past performance is not a reliable indicator of future performance. The Aikya Emerging Markets Opportunities Fund returns are calculated using the exit prices per unit at the start and end of the relevant period in AUD, with distributions reinvested, and are net of applicable fees, costs and taxes (excluding taxes relating to individual investor circumstances). The returns also do not fully reflect the spreads incurred by investors when applying for and redeeming units in the fund. 1Inception is 12th January 2022. Returns could be reduced, or losses incurred, due to currency fluctuations.
Fund Information
Top Ten Holdings
Country Exposure
Bloomberg Classification
Sector Exposure
GICS Classification
Performance as at 31 July 2022
Past performance is not a reliable indicator of future performance. The Aikya Emerging Markets Opportunities Fund returns are calculated using the mid prices per unit at the start and end of the relevant period in AUD, with distributions reinvested, and are net of applicable fees, costs and taxes (excluding taxes relating to individual investor circumstances). The returns also do not fully reflect the spreads incurred by investors when applying for and redeeming units in the fund. 1Inception is 12th January 2022. Returns could be reduced, or losses incurred, due to currency fluctuations.
Unit Prices and Distributions
Unit prices are net of fees & do not include distributions.
Unit Prices and Distributions
Unit prices are net of fees & do not include distributions.
Monthly report
Monthly Report
Invest Now
Complete and submit an application in a quarter of the time it takes to invest via a paper based application. Investors with a verified account can top-up investments or invest in other funds in a fraction of the time.
Investor Forms
Distribution of meeting-related documents and annual reports to unitholders of Aikya Emerging Markets Opportunities Fund ARSN 653 056 092
Unitholders who would like to receive meeting-related documents such as notices of meeting and annual reports in physical form must notify Pinnacle Client Service by phone on 1300 010 311 or email service@pinnacleinvestment.com. Unitholders who do not wish to receive annual reports or would like to receive meeting-related documents and annual reports in electronic form may also notify Pinnacle Client Service by phone or email.
Unitholders may also make an ad hoc request for a particular document1 to be sent in physical or electronic form.
Unitholders who do not notify Pinnacle Client Service of their communication preferences and have provided a valid email address will receive meeting-related documents and annual reports in electronic form.
Invest Now
Complete and submit an application in a quarter of the time it takes to invest via a paper based application. Investors with a verified account can top-up investments or invest in other funds in a fraction of the time.
Investor Forms
Distribution of meeting-related documents and annual reports to unitholders of Aikya Emerging Markets Opportunities Fund ARSN 653 056 092
Unitholders who would like to receive meeting-related documents such as notices of meeting and annual reports in physical form must notify Pinnacle Client Service by phone on 1300 010 311 or email service@pinnacleinvestment.com. Unitholders who do not wish to receive annual reports or would like to receive meeting-related documents and annual reports in electronic form may also notify Pinnacle Client Service by phone or email.
Unitholders may also make an ad hoc request for a particular document1 to be sent in physical or electronic form.
Unitholders who do not notify Pinnacle Client Service of their communication preferences and have provided a valid email address will receive meeting-related documents and annual reports in electronic form.
Disclaimer and disclosure
All website content in respect of the Aikya Global Emerging Markets Opportunities Fund (ARSN 653 056 092) (the Fund) is issued by Pinnacle Fund Services Limited ABN 29 082 494 362 AFSL 238 371 (“PFSL”) as responsible entity of the Fund and is prepared by Aikya Investment Management Limited (“ Aikya”). Aikya (FCA 935193), which is authorised and regulated by the Financial Conduct Authority in the United Kingdom, is the investment manager of the Fund. PFSL is not licensed to provide financial product advice.
The information provided in this website is of a general nature only and has been prepared without taking into account your objectives, financial situation or needs. Before making an investment decision in respect of the Fund, you should consider the current product disclosure statement (PDS) and Target Market Determination (‘TMD’) of the Fund and the Fund’s other periodic and continuous disclosure announcements and assess whether the Fund is appropriate given your objectives, financial situation or needs. If you require advice that takes into account your personal circumstances, you should consult a licensed or authorised financial adviser.
Disclaimer and disclosure
All website content in respect of the Aikya Global Emerging Markets Opportunities Fund (ARSN 653 056 092) (the Fund) is issued by Pinnacle Fund Services Limited ABN 29 082 494 362 AFSL 238 371 (“PFSL”) as responsible entity of the Fund and is prepared by Aikya Investment Management Limited (“ Aikya”). Aikya (FCA 935193), which is authorised and regulated by the Financial Conduct Authority in the United Kingdom, is the investment manager of the Fund. PFSL is not licensed to provide financial product advice.
The information provided in this website is of a general nature only and has been prepared without taking into account your objectives, financial situation or needs. Before making an investment decision in respect of the Fund, you should consider the current product disclosure statement (PDS) and Target Market Determination (‘TMD’) of the Fund and the Fund’s other periodic and continuous disclosure announcements and assess whether the Fund is appropriate given your objectives, financial situation or needs. If you require advice that takes into account your personal circumstances, you should consult a licensed or authorised financial adviser.