Investment Funds
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Series II - Series A 360 One Global Bond Fund | 27-09-2024 | USD | 113.6680 | 1,045,518 | 118,841,882 |
Series II - Series B 360 One Global Bond Fund | 27-09-2024 | USD | 113.8026 | 338,718 | 38,546,943 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class J-USD Shares Series 1 Class J-USD Shares | 31-08-2024 | USD | 1,710.1650 | 55,769 | 95,374,087 |
Class J-JPY Shares Class J-JPY Shares | 31-08-2024 | JPY | 139,874.6310 | 5,232 | 731,837,637 |
Class J- JPY Share Series 4 Class J- JPY Share Series 4 Class | 31-08-2024 | JPY | 98,994.6160 | 456 | 45,176,490 |
Class J- USD Share Series 6 Class J- USD Share Series 6 Class | 31-08-2024 | USD | 0.0000 | 0 | 0 |
Class J- USD Share Series 7 Class J- USD Share Series 7 Class | 31-08-2024 | USD | 1,045.9450 | 2,916 | 3,049,807 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
JPY Units TCW Sepulveda Equity JPY Trust | 30-08-2024 | JPY | 10,057.0000 | 1,436,049 | 14,442,305,852 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
D Lead Series Lead Series | 31-08-2024 | USD | 829.6500 | 95,171 | 78,958,934 |
D Series 12-14 Series 12-14 | 31-08-2024 | USD | 674.9900 | 1,322 | 892,187 |
D Series 05-15 Series 05-15 | 31-08-2024 | USD | 713.5100 | 69 | 49,045 |
D Series 06-15 Series 06-15 | 31-08-2024 | USD | 729.9500 | 244 | 178,038 |
D Series 08-15 Series 08-15 | 31-08-2024 | USD | 803.1000 | 32,473 | 26,078,867 |
D Series 09-15 Series 09-15 | 31-08-2024 | USD | 865.6700 | 6,825 | 5,908,400 |
D Series 11-15 Series 11-15 | 31-08-2024 | USD | 886.3400 | 255 | 226,019 |
D Series 01-16 Series 01-16 | 31-08-2024 | USD | 934.2800 | 3,854 | 3,600,590 |
D Series 02-16 Series 02-16 | 31-08-2024 | USD | 1,034.6300 | 1,626 | 1,682,426 |
D Series 03-16 Series 03-16 | 31-08-2024 | USD | 1,011.4300 | 684 | 691,340 |
D Series 04-21 Series 04-21 | 31-08-2024 | USD | 952.7000 | 133 | 127,030 |
D Series 07-21 Series 07-21 | 31-08-2024 | USD | 916.7400 | 20,130 | 18,454,276 |
D Series 01-22 Series 01-22 | 31-08-2024 | USD | 871.1400 | 6,056 | 5,275,442 |
D Series 02-22 Series 02-22 | 31-08-2024 | USD | 868.0200 | 120 | 104,169 |
D Series 03-22 Series 03-22 | 31-08-2024 | USD | 883.7400 | 23,603 | 20,858,926 |
D Series 04-22 Series 04-22 | 31-08-2024 | USD | 930.3400 | 118 | 109,749 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
B Shares | 31-08-2024 | USD | 1,428.7400 | 174,406 | 249,181,167 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Participating shares | 31-03-2024 | USD | 16.1300 | 205,000 | 3,306,650 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Balanced Fund Class A US$ Segregated Portfolio | 30-09-2024 | USD | 185.7666 | 297,824 | 55,325,780 |
Short Duration Income Fund Class A US$ Segregated Portfolio | 30-09-2024 | USD | 124.3342 | 147,028 | 18,280,617 |
Equities Fund Accumulation (A) Shares US$ Segregated Portfolio | 30-09-2024 | USD | 167.4139 | 236,084 | 39,523,693 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class B USD Shares Bosera China Income Bond Fund SP Class B USD Shares | 02-10-2024 | USD | 1,059.9615 | 45,208 | 47,918,783 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Up to 25,000,000 Shares of BD$1.00 | 18-09-2024 | BMD | 47.6000 | 531,513 | 25,300,000 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Non-Voting Redeemable Shares of US$0.01 par value | 01-10-2024 | USD | 31.4600 | 538,219 | 16,931,259 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
US Dollar Class Unlimited number of units in the Unit Trust | 01-10-2024 | USD | 44.7500 | 587,339 | 26,285,806 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A USD Up to 200,000,000 Shares of US$0.10 each | 30-09-2024 | USD | 28.2061 | 34,141,551 | 963,000,000 |
Class B USD Up to 200,000,000 Shares of US$0.10 each | 30-09-2024 | USD | 28.8225 | 25,813,167 | 744,000,000 |
Class A CAD Up to 100,000,000 Shares of CAD$0.10 each | 30-09-2024 | CAD | 18.8269 | 3,186,930 | 60,000,000 |
Class B CAD Up to 100,000,000 Shares of CAD$0.10 each | 30-09-2024 | CAD | 19.3764 | 1,033 | 20,000 |
Class A GBP Up to 100,000,000 Shares of £0.10 each | 30-09-2024 | GBP | 22.2027 | 1,261,108 | 28,000,000 |
Class B GBP Up to 100,000,000 Shares of £0.10 each | 30-09-2024 | GBP | 22.7129 | 30,820 | 700,000 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Alternative Investment Class Up to 999,880,000Non-voting Participating Share of US$0.10 par value each | 19-09-2024 | USD | 19.7200 | 816,430 | 16,100,000 |
Equity Class Up to 999,880,000 Non-voting Participating Shares of US$0.10 par value each | 19-09-2024 | USD | 26.6500 | 3,155,723 | 84,100,000 |
Fixed Income Class Up to 999,880,000 Non-voting Participating Shares of US$0.10 par value each | 19-09-2024 | USD | 22.0600 | 1,749,774 | 38,600,000 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Up to 25,000,000 Shares of US$0.10 each | 18-09-2024 | USD | 10.5730 | 1,068,760 | 11,300,000 |
Class B Up to 25,000,000 Shares of US$0.10 each | 18-09-2024 | USD | 10.7940 | 9,125,440 | 98,500,000 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
CNS International Equity Fund Shares Up to 14,999,900 non-voting participating redeemable shares | 31-08-2024 | USD | 9.8800 | 162,889 | 1,609,684 |
CNS US Bond Fund Shares Up to 14,999,900 non-voting participating redeemable shares | 31-08-2024 | USD | 10.1180 | 592,546 | 5,995,403 |
CNS US Equity Fund Shares Up to 14,999,900 non-voting, participating, redeemable shares | 31-08-2024 | USD | 27.7646 | 81,944 | 2,275,143 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Shares Up to 49,999,900 Class A (RMB) Shares of US$0.001 | 02-10-2024 | RMB | 103.5600 | 9,963,043 | 1,031,731,513 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class E (USD) Share CICC Multi-strategy Fixed Income Fund SP | 30-08-2024 | USD | 108.6626 | 100,695 | 10,941,781 |
Class A (USD) Shares of USD100 each CICC Short Duration Investment Grade Bond SP | 20-09-2024 | USD | 104.5517 | 320,420 | 33,500,466 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Redeemable, participating and non-voting shares Plane Tree Capital Private Credit Fund SP - Redeemable, participating and non-voting shares with a par value of US$0.01 | 31-08-2024 | USD | 125.3000 | 201,259 | 25,217,299 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A shares Up to 4,999,990 non-voting participating shares | 01-10-2024 | USD | 85.4750 | 751 | 64,248 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
USD Class B participating, non-voting shares Dylan Management Fund Segregated Portfolio USD Class B participating, non-voting shares | 18-09-2024 | USD | 2,831.0800 | 19,364 | 54,822,248 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class B Participating Shares Up to 49,999,900 USD Class B Participating Shares | 02-10-2024 | USD | 101.7697 | 2,602,315 | 264,836,910 |
Class D Participating Shares Up to 49,999,900 JPY Class D Participating Shares | 02-10-2024 | JPY | 103.3061 | 146,106,384 | 15,093,683,221 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class R (USD) Shares Up to 49,900,000 Participating Shares in aggregate | 26-09-2024 | USD | 121.4800 | 1,093,215 | 132,806,045 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Interests An unlimited number of A limited partnership interests | 31-08-2024 | EUR | 22,110,074.0000 | 1 | 22,110,074 |
Class B interests An unlimited number of B limited partnership interests | 31-08-2024 | EUR | 550,636.0000 | 1 | 550,636 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Taiwan Up to 10,000,000 Class A Shares of US$0.001 par value | 30-08-2024 | USD | 67.3218 | 1,390,351 | 93,600,905 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Enhanced Taiwan Index Fund Up to 49,999,900 Shares of US$0.001 par value | 19-09-2024 | USD | 67.5601 | 1,385,761 | 93,622,217 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Strategic Europe Fund Unlimited number of units | 20-09-2024 | EUR | 4,935.5100 | 72,957 | 360,078,152 |
Europe Premier Fund Unlimited number of units | 30-09-2024 | EUR | 8,312.7500 | 29,565 | 245,769,376 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class B Shares Up to 49,999,000 Class B non-voting, redeemable, participating shares | 02-10-2024 | CNY | 1,010.7769 | 707,000 | 714,619,287 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Participating Shares An unlimited number of participating shares of par value of US$0.01 each | 03-10-2024 | USD | 34.8000 | 1,535,977 | 53,452,015 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class I Class I non-voting shares | 31-08-2024 | USD | 1,138.7100 | 35,195 | 40,077,775 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A participating, redeemable, non-voting shares GFI Developed Markets Total Return Fixed Income Fund SP, a SP of GFI Nard Master Fund SPC | 30-09-2024 | USD | 1,002.8840 | 52,232 | 52,382,348 |
Class B participating, redeemable, non-voting shares GFI China Total Return Fixed Income Fund SP, a SP of GFI Nard Master Fund SPC | 08-08-2024 | USD | 112.5940 | 1,944,352 | 218,922,459 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Class A redeemable non-voting Participating Shares of par value US$0.01 per share | 30-09-2024 | USD | 10,516.4300 | 49,230 | 517,727,556 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Ordinary Shares Ordinary Shares with a nominal value of £0.001 per share | 30-06-2024 | GBP | 5.2260 | 60,000,000 | 313,560,000 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Series A1-1 Class A1-1 Shares | 31-07-2024 | USD | 209.9876 | 29,038 | 6,097,655 |
Series A2-1 Class A2-1 Shares | 31-07-2024 | USD | 201.4763 | 4,215 | 849,248 |
Series B1-1-09 Class B1-1 Shares | 31-07-2024 | USD | 192.1287 | 35,767 | 6,871,844 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Series 1 Units An unlimited number of equal undivided shares in the Trust of the Nissay Multi-Manager Multi Asset Investment Fund | 30-09-2024 | JPY | 9,470.0000 | 1,000,010 | 9,470,381,039 |
Series 2 Units An unlimited number of equal undivided shares in the Trust of the Nissay Multi-Manager Multi Asset Investment Fund | 30-09-2024 | JPY | 9,470.0000 | 1,000,010 | 9,469,768,353 |
Series 3 Units An unlimited number of equal undivided shares in the Trust of the Nissay Multi-Manager Multi Asset Investment Fund | 30-09-2024 | JPY | 9,470.0000 | 1,000,010 | 9,470,091,532 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Series 1 Class J-USD shares Series 1 Class J-USD shares | 31-08-2024 | USD | 3,925.4600 | 31,253 | 122,680,948 |
Series 9 Class J-USD shares Series 9 Class J-USD shares | 31-08-2024 | USD | 1,026.6300 | 2,290 | 2,350,479 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Non-Voting Participating Redeemable Pref Shares | 31-08-2024 | USD | 156.2500 | 1,908,851 | 298,262,807 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Up to 14,990,000 Non-Voting Participating Shares | 31-08-2024 | USD | 75.2600 | 3,166,653 | 238,312,243 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Participating Shares each of HK$0.01 par value Orient Sun Rise Vision Bond Fund Segregated Portfolio | 18-06-2024 | USD | 100.0000 | 1,000,000 | 100,000,000 |
Class A Participating Shares each of HK$0.01 par value Orient Sun Rise Vision Selective Fund Segregated Portfolio | 20-08-2024 | USD | 100.0000 | 1,000,000 | 100,000,000 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A USD Shares Rongtong Industrial Fund SP - an unlimited number of Class A USD Shares | 02-10-2024 | USD | 1,003.0664 | 200,000 | 200,613,280 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Shares Redeemable Preferred Shares | 04-10-2024 | USD | 4.0800 | 7,366,869 | 30,026,158 |
Class AC Shares Up to 100,000,000 Class AC Shares | 04-10-2024 | CAD | 6.3000 | 1,419,744 | 8,949,904 |
Class NC Shares Up to 100,000,000 Class NC Shares | 04-10-2024 | CAD | 5.6100 | 233,693 | 1,310,522 |
Class NU Shares Up to 100,000,000 Class NU Shares | 04-10-2024 | USD | 4.0000 | 207,179 | 828,960 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Shares Redeemable Preferred Shares | 04-10-2024 | USD | 4.0700 | 8,275,132 | 33,665,876 |
Class NU Shares Up to 100,000,000 Class NU Shares | 04-10-2024 | USD | 3.9600 | 265,897 | 1,053,925 |
Class AC Shares Up to 100,000,000 Class AC Shares | 04-10-2024 | CAD | 6.1000 | 365 | 2,227 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Shares Redeemable Preferred Shares | 04-10-2024 | USD | 14.8800 | 18,246,480 | 271,552,751 |
Class D Shares Up to 100,000,000 Class D Redeemable Preferred Shares | 04-10-2024 | USD | 10.0000 | 1,657,747 | 16,577,470 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Shares Redeemable Preferred Shares | 04-10-2024 | USD | 2.7200 | 10,383,118 | 28,219,006 |
Class NU Shares Up to 100,000,000 Class NU Shares | 04-10-2024 | USD | 2.5200 | 453,410 | 1,140,579 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Shares Redeemable Preferred Shares | 04-10-2024 | USD | 25.3200 | 2,113,356 | 53,517,821 |
Class AC Shares Up to 100,000,000 Class AC Shares | 04-10-2024 | CAD | 34.8000 | 906 | 31,516 |
Class NU Shares Up to 100,000,000 Class NU Shares | 04-10-2024 | USD | 24.8500 | 23,816 | 591,793 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Euro Class Up to 4,999,000 Euro Class Redeemable Participating Shares | 31-08-2024 | EUR | 160.5966 | 278,819 | 44,777,340 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Initial Series Class A redeemable non-voting shares | 31-08-2024 | EUR | 1,228.8101 | 31,782 | 39,054,448 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Redeemable Non-Voting Participating Shares of par value US$0.01 | 31-08-2024 | USD | 1,922.9098 | 28,341 | 54,498,030 |
Class B Redeemable Non-Voting Participating Shares of par value US$0.01 | 31-08-2024 | USD | 1,795.8367 | 17,780 | 31,929,346 |
Class C Redeemable Non-Voting Participating Shares of par value US$0.01 | 31-08-2024 | USD | 1,904.2266 | 243,504 | 463,687,341 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A Shares 49,900,000 non-voting redeemable participating shares of a nominal value of US$0.001 each of Class A Shares of the Zhong Ou Dynamic Fixed Income Fund SP I, | 02-10-2024 | USD | 100.5269 | 1,996,548 | 200,706,737 |
Class/Description | Valuation Date | Curr | NAV | Units | Total |
---|---|---|---|---|---|
Class A1 Up to 500,000 Redeemable Shares of par value US$0.01 each (Est) | 03-09-2024 | USD | 106,775.2200 | 33 | 3,523,891 |
Class A1 Up to 500,000 Redeemable Shares of par value US$0.01 each | 31-07-2024 | USD | 99,797.4400 | 26 | 2,632,446 |