NAV

1376.06 IDR

13/12/2018

up 11.26

As of: 13/12/2018

Period 3M 6M 1Y 3Y 5Y
Change up 3.17% up 0.34% up 0.08% up 29.15% -

NAV

3648.93 IDR

13/12/2018

up 2.61

As of: 13/12/2018

Period 3M 6M 1Y 3Y 5Y
Change up 1.87% up 1.65% up 4.72% up 21.02% up 48.18%

Market Outlook

14DEC 2018

Outlooks 2019: Emerging markets debt relative

Market Outlook

14DEC 2018

Outlooks 2019: Emerging markets debt relative

Emerging markets debt yields are at levels which rival reasonable forward expectations for equities in 2019. In our view, a true catalyst for additio…

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Market Outlook

14DEC 2018

Outlook 2019: Emerging markets equities

Market Outlook

14DEC 2018

Outlook 2019: Emerging markets equities

Key potential catalysts for emerging markets performance in 2019 are US dollar weakness, a better-than-expected outcome in US-China trade relations a…

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Schroders Talkingpoint

Visit www.schroderstalkingpoint.com for our views on investment issues and insights from industry experts on key trends.

NAV Prices are based on "dividend re-investment" basis.