IMPORTANT NEWS: Transition of investment management responsibilities

First Sentier Group, the global asset management organisation, has announced a strategic transition of Stewart Investors' investment management responsibilities to its affiliate investment team, FSSA Investment Managers, effective Friday, 14 November close of business EST. 

Our Funds

Our Funds

Fund prices and performance

View the latest price of our funds.

View the Non-Dealing Days for 2025.

Stewart Investors Asia Pacific All Cap Fund

Overview of Stewart Investors Asia Pacific All Cap Fund performance

FUND SHARE CLASS CURRENCY ISIN SEDOL VALUATION DATE NAV / BID PRICE
Stewart Investors Asia Pacific All Cap Fund6 Class I (Acc) EUR IE00BFY86287 BFY8628 30 Jul 2026 13.7095
Stewart Investors Asia Pacific All Cap Fund6 Class I (Acc) SGD IE000UZ79C24 BQXP5Z3 30 Jul 2026 11.2763
Stewart Investors Asia Pacific All Cap Fund6 Class I (Acc) USD IE000BK27P89 BQMHN45 30 Jul 2026 12.5407
Stewart Investors Asia Pacific All Cap Fund6 Class VI (Acc) EUR IE00BFY86394 BFY8639 30 Jul 2026 4.2104
Stewart Investors Asia Pacific All Cap Fund6 Class VI (Acc) USD IE00BF18T777 BF18T77 30 Jul 2026 16.8816

Stewart Investors Asia Pacific Leaders Fund

Overview of Stewart Investors Asia Pacific Leaders Fund performance

FUND SHARE CLASS CURRENCY ISIN SEDOL VALUATION DATE NAV / BID PRICE
Stewart Investors Asia Pacific Leaders Fund6 Class I (Acc) EUR IE00BFY85L07 BFY85L0 30 Jul 2026 3.9244
Stewart Investors Asia Pacific Leaders Fund6 Class I (H Dist) EUR IE00BFY85N21 BFY85N2 30 Jul 2026 3.5607
Stewart Investors Asia Pacific Leaders Fund6 Class I (Acc) SGD IE000DK39VY7 BQXP672 30 Jul 2026 11.8355
Stewart Investors Asia Pacific Leaders Fund6 Class I (H Dist) SGD IE000LN3UTM5 BQXP683 30 Jul 2026 11.7454
Stewart Investors Asia Pacific Leaders Fund6 Class I (H Dist) USD IE0002CHQF44 BQXP694 30 Jul 2026 12.3490
Stewart Investors Asia Pacific Leaders Fund6 Class I (Acc) USD IE000AHU5WZ4 BP83061 30 Jul 2026 11.4346
Stewart Investors Asia Pacific Leaders Fund6 Class VI (Acc) EUR IE00BFY85M14 BFY85M1 30 Jul 2026 3.8472
Stewart Investors Asia Pacific Leaders Fund6 Class VI (H Dist) EUR IE00BFY85P45 BFY85P4 30 Jul 2026 2.6321
Stewart Investors Asia Pacific Leaders Fund6 Class VI (Acc) USD IE00BF18T660 BF18T66 30 Jul 2026 16.6518
Stewart Investors Asia Pacific Leaders Fund6 Class VI (H Dist) USD IE00BKDRZ687 BKDRZ68 30 Jul 2026 15.9797

Stewart Investors Global Emerging Markets All Cap Fund

Overview of Stewart Investors Global Emerging Markets All Cap Fund performance

FUND SHARE CLASS CURRENCY ISIN SEDOL VALUATION DATE NAV / BID PRICE
Stewart Investors Global Emerging Markets All Cap Fund6 Class I (Acc) EUR IE00BFY85Q51 BFY85Q5 30 Jul 2026 9.1268
Stewart Investors Global Emerging Markets All Cap Fund6 Class I (Acc) SGD IE000P5M9KF7 BQXP5W0 30 Jul 2026 9.6485
Stewart Investors Global Emerging Markets All Cap Fund6 Class I (Acc) USD IE000AQHA357 BQMHN56 30 Jul 2026 11.0728
Stewart Investors Global Emerging Markets All Cap Fund6 Class VI (Acc) EUR IE00BFY85R68 BFY85R6 30 Jul 2026 2.3886
Stewart Investors Global Emerging Markets All Cap Fund6 Class VI (H Dist) EUR IE00BKTB3J34 BKTB3J3 30 Jul 2026 11.1998
Stewart Investors Global Emerging Markets All Cap Fund6 Class VI (Acc) USD IE00BF18T884 BF18T88 30 Jul 2026 12.4537

Stewart Investors Global Emerging Markets Leaders Fund

Overview of Stewart Investors Global Emerging Markets Leaders Fund performance

FUND SHARE CLASS CURRENCY ISIN SEDOL VALUATION DATE NAV / BID PRICE
Stewart Investors Global Emerging Markets Leaders Fund7 Class I (Acc) USD IE00B0169N27 B0169N2 30 Jul 2026 31.0240
Stewart Investors Global Emerging Markets Leaders Fund7 Class I (Acc) EUR IE00BFY84Y60 BFY84Y6 30 Jul 2026 11.8602
Stewart Investors Global Emerging Markets Leaders Fund7 Class VI (Acc) EUR IE00BFY84Z77 BFY84Z7 30 Jul 2026 12.4480
Stewart Investors Global Emerging Markets Leaders Fund7 Class VI (H Dist) EUR IE00BFY85099 BFY8509 30 Jul 2026 11.4844

 

 

Share prices are calculated on a forward pricing basis which means that the price at which you buy or sell will be calculated at the next valuation point after the transaction is placed. Where a fund price is marked XD, this means that the fund is currently Ex-Dividend. Past performance is not necessarily a guide to future performance. The value of shares and income from them may go down as well as up and is not guaranteed. Please note that the yield quoted above is not the historic yield. It is considered that the yield quoted represents the current position of investments, income and expenses in the fund and that this is a more accurate figure. Investors may be subject to tax on their distribution. The yield is not guaranteed or representative of future yields. You should be aware that any currency movements could affect the value of your investment. The Funds within the First Sentier Investors Global Umbrella Fund plc (Irish VCC) are denominated in USD or EUR.

Strategy and fund name changes

As of end of 2024, please note that Stewart Investors strategies and the Funds within the UK First Sentier Investors ICVC, First Sentier Investors Global Umbrella Fund plc (Irish VCC) and First Sentier Investors Global Growth Funds (Singapore Unit Trust) have been renamed. Please refer to our note via the link below for further information.

6 As of end of 2024, please note that Stewart Investors strategies and the Funds within the First Sentier Investors Global Umbrella Fund plc (Irish VCC) have been renamed. Please refer to this note for further information.

7 With effect from 24 April 2015, First State Global Emerging Markets Select Fund was merged into First State Global Emerging Markets Leaders Fund. On 2 November 2015, First State Global Emerging Markets Leaders Fund was rebranded as Stewart Investors Global Emerging Markets Leaders Fund.

Source: Lipper, Nav-Nav (with dividend reinvested where applicable)

The Fund is a sub fund of Ireland domiciled First Sentier Investors Global Umbrella Fund plc.

Acc represents share class with dividends accumulated. M Dist represents share class with monthly distribution of dividends. H Dist represents share class with half-yearly distribution of dividends. Q Dist represents share class with quarterly distribution of dividends. Dividends are not guaranteed and may be paid out of capital. All prices are for indication only. For detail, please refer to the Fund’s factsheet for further details including investment objective & strategy, asset allocation, top 10 holdings, comparison with benchmark (if any) and disclosure.

Our strategies

Since the launch of Stewart Investors first investment strategy in 1988, sustainable investment has always been an integral part of our investment philosophy and stock-picking process. At the heart of this philosophy is the principle of stewardship.