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  • Fund Type: ETF
  • Objective: Corporate/Preferred
  • Asset Class: Debt
  • Geographic Focus: Asian Pacific Region ex Japan

ABF Pan Asia Bond Index Fund

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2821:HK

130.9500 USD 0.1500 0.11%

As of 02:37:58 ET on 05/20/2013.

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Snapshot for ABF Pan Asia Bond Index Fund (2821)

Open: 131.3000 High - Low: 131.3000 - 130.9000 Primary Exchange: Hong Kong
Volume: 4,600 52-Week Range: 124.1000 - 132.0500 Beta vs ABTRPAUH: 0.8616

ETF Chart for 2821

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  • 2821:HK 130.9500
  • 1D
  • 1M
  • 1Y
130.8000
Interactive 2821 Chart

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Fund Profile & Information for 2821

ABF Pan Asia Bond Index Fund is a unit trust established in Singapore. The Fund's objective is to provide investment results that correspond closely to the total return of the iBoxx ABF Pan-Asia Index, before fees and expenses. The Fund invests in debt obligations issued or guaranteed by the governments of China, Hong Kong, Indonesia, Korea, Malaysia, Philippines, Singapore and Thailand.

Inception Date: 2005-07-07 Telephone: 65-6826-7500
Managers: -
Web Site: www.abf-paif.com

Fundamentals for 2821

NAV (on 2013-05-15) 131.1100
Assets (M) (on 2013-05-16) 3,683.9820
Shares out (M) 28.14
Market Cap (M) 3,683.10
% Premium 0.26
Average 52-Week % Premium 0.0800
Fund Leveraged N

Dividends for 2821

Dividend Type Distribution
Dividend Frequency Semi-Anl
Last Dividend Net (on 2013-01-21) 1.6700
Dividend Yield (ttm) 2.65%

Performance for 2821

1-Month +0.62% 1-Year +7.03%
3-Month +0.77% 3-Year +6.54%
Year To Date +0.90% 5-Year +6.06%
Expense Ratio 0.19

Top Fund Holdings for 2821

Filing Date: 04/30/2013
Name Position Value % of Total
GBHK 1.43 12/02/15 423,000 56,389,873 1.533%
GBHK 2.07 11/03/14 379,000 50,743,229 1.380%
SIGB 3 ¼ 09/01/20 48,250 45,363,544 1.234%
SIGB 3 ¾ 09/01/16 49,100 44,667,973 1.215%
NDFB 5 ¾ 09/10/18 41,000,000 43,373,233 1.179%
NDFB 4 ¼ 06/10/21 42,000,000 42,980,096 1.169%
SIGB 3 ½ 03/01/27 43,900 42,559,914 1.157%
SIGB 3 ⅛ 09/01/22 44,800 42,050,628 1.143%
SIGB 3 ⅝ 07/01/14 48,600 41,426,594 1.126%
SIGB 4 09/01/18 39,850 38,354,125 1.043%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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