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Fullgoal International Funds (SICAV) - Fullgoal China Small-Mid Cap Growth Fund

Fullgoal China Small-Mid Cap Growth Fund

Summary

Fund Description

Fullgoal International Funds SICAV - Fullgoal China Small-Mid Cap Growth Fund investment objective is to achieve capital appreciation primarily (i.e. at least two-thirds of its net asset value) through investing in small and mid cap companies whose operations are focused mainly in, or which derive a significant amount of revenue from China, Hong Kong or Macau listed in China, Hong Kong and the US.

Fund Information

Fund Type Greater China Equity Fund
Morningstar ClassificationEAA Fund China Equity
Launch DateSeptember 09, 2016
Accounting CurrencyUSD
DomicileLuxembourg
Legal StructureUCITS
CE No.BNY 661
Investment ManagerFullgoal Asset Management (Hong Kong) Limited
Fund ManagerLemanik Asset Management S.A.
Custodian BankBrown Brothers Harriman (Luxembourg) S.C.A.
ISIN Code Class I USD: LU1171460493
Class I EUR: LU1171460659
Class A USD: LU1171460220
Class A EUR: LU1171460576
Class A HKD: LU2279858448
Class PF USD: LU2279858109
Bloomberg Ticker Class I USD: FULCI1U LX
Class I EUR: FULCI1E LX
Class A USD: FULCA1U LX
Class A EUR: FUCSCAE LX
Class A HKD: FULCA1H LX
Class PF USD: FULCA1H LX
Subscription/RedemptionDaily
Dividend Policy Class I USD: Cumulative
Class I EUR: Cumulative
Class A USD: Cumulative
Class A EUR: Cumulative
Class A HKD: Cumulative
Class PF USD: Cumulative
Fund size*USD 638.23 Million
Net Asset Value* Class I USD: 5789.951
Class I EUR: 3835.745
Class A USD: 3289.649
Class A EUR: 1344.461
Class PF USD: 1155.422
Class A HKD: 1193.809
Minimum Investment Class I USD: USD 250,000
Class I EUR: EUR 200,000
Class A USD: USD 1,500
Class A EUR: EUR 1,000
Class A HKD: HKD 10,000
Class PF USD: USD 5,000
Management Fee Class I: 0.90% of the net asset value of the relevant share class each year
Class A: 1.80% of the net asset value of the relevant share class each year
Class PF: 0.60% of the net asset value of the relevant share class each year. Performance Fee for PF share class will be calculated with: 15% of the appreciation of the GAV per Share (prior to deduction of any Performance Fee) above the High Water Mark, multiplied by the Class PF Shares in issue
Subscription Fee Class I: Up to 3% of the subscription amount
Class A: up to 5% of the subscription amount
* As of 01 Apr, 2026
** Class PF (USD) will not be available for subscriptions to the public in Hong Kong.

Awards

1
Three-Year Golden Bull Overseas China Equity Fund Award
"Three-Year Golden Bull Overseas China Equity Fund Award" by the 5th Overseas Golden Bull Fund Award sponsored by China Securities Journal
1
Best Total Return - Greater China Equity (1 Year)
First Prize at the 2021 Offshore China Fund Awards "Best Total Return - Greater China Equity (1 Year)" awarded by the 7th Offshore China Fund co-sponsored by the Hong Kong China Fund Industry Association (HKCAMA) and Bloomberg
1
Best Total Return - Greater China Equity (3 Year)
First Prize at the 2021 Offshore China Fund Awards "Best Total Return - Greater China Equity (3 Year)" awarded by the 7th Offshore China Fund co-sponsored by the Hong Kong China Fund Industry Association (HKCAMA) and Bloomberg
1
Best Total Return - Greater China Equity (5 Year)
First Prize at the 2021 Offshore China Fund Awards "Best Total Return - Greater China Equity (5 Year)" awarded by the 7th Offshore China Fund co-sponsored by the Hong Kong China Fund Industry Association (HKCAMA) and Bloomberg
1
One Year Golden Bull Overseas China Equity Fund Award
"One Year Golden Bull Overseas China Equity Fund Award" by the 4th Overseas Golden Bull Fund Award sponsored by China Securities Journal
1
Best Total Return - Greater China Equity (1 Year)
First Prize at the 2020 Offshore China Fund Awards "Best Total Return - Greater China Equity (1 Year)" awarded by the 6th Offshore China Fund co-sponsored by the Hong Kong China Fund Industry Association (HKCAMA) and Bloomberg
1
Best Total Return - Greater China Equity (3 Year)
First Prize at the 2020 Offshore China Fund Awards "Best Total Return - Greater China Equity (3 Year)" awarded by the 6th Offshore China Fund co-sponsored by the Hong Kong China Fund Industry Association (HKCAMA) and Bloomberg
1
Best Total Return - Greater China Equity (1 Year)
First Prize at the 2019 Offshore China Fund Awards "Best Total Return - Greater China Equity (1 Year)" awarded by the 5th Offshore China Fund co-sponsored by the Hong Kong China Fund Industry Association (HKCAMA) and Bloomberg
1
Best Total Return - Greater China Equity (3 Year)
First Prize at the 2019 Offshore China Fund Awards "Best Total Return - Greater China Equity (3 Year)" awarded by the 5th Offshore China Fund co-sponsored by the Hong Kong China Fund Industry Association (HKCAMA) and Bloomberg

Performance

3 Months6 Months1 YearSince Inception

This fund:

Share Effective Date: 2016-09-01

Cumulative and Annualised Performance

Cumulative % Annualised Return %
1 Months 3 Months 6 Months YTD 1 Year 3 Year 5 Year Since Inception
Class/ I-USD--------
Benchmark --------
Morningstar Ranking --------
Source: FullgoalAsset Management(HK) Limited and Bloomberg. Data as of 30 Nov 2025. Note:1 Performance data has been calculated in USD including ongoing charges and excluding subscription fee and redemption fee you might have to pay; 2. The performance uses data of Class I1 (USD) as it launched since the inception of the Fund.

Fund Parameters(Class/I-USD)

Annualized Volatility(3-Year) Beta Coefficient(3-Year)Sharpe Ratio(3-Year)Information Ratio(3-Year)P/E Ratio(fold)P/B Ratio(fold)
------
Source: FullgoalAsset Management(HK) Limited and Morningstar. Data as of 30 Nov 2025.

holding

Market Distribution

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Market Cap Distribution

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Industrial Sector Distribution

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Top 5 Holdings

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Dividend

Dividend payout record

ISINRecord datedividend dateDelivery dateTotal dividend payout

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Documents

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Risk statement

Investment involves risks. Past performance is not indicative of future performance. Investors should refer to the fund prospectus for further details, including the product features and risk factors. Fullgoal Asset Management (HK) Limited (AZX665), a subsidiary of The Fullgoal Fund Management Company Limited in mainland China, is licensed with the Securities and Futures Commission ("SFC"). By using this website you acknowledge that your access to the information on this website is governed by the laws of Hong Kong. There is no intention to offer or sell products in countries or jurisdictions where such offer or sale would be unlawful under the relevant domestic law. All investors accessing the website do so on their own initiative and are responsible for compliance with applicable local laws and regulations. This web page is published by Fullgoal Asset Management (HK) Limited and this web page has not been reviewed by the Securities and Futures Commission in Hong Kong.

The page is prepared and issued by Fullgoal Asset Management (HK) Limited ("Fullgoal HK") and has not been reviewed by the SFC. Whilst the information regarding this investment product on this website may be helpful to you when making an investment decision, it may or may not constitute (i) an offer, solicitation, invitation, or recommendation for buying or selling this investment product or (ii) investment advice. If we have solicited you to purchase this investment product, or recommended this investment product to you, we will assess whether the investment product is reasonably suitable for you having regard to your financial situation, investment experience, and investment objectives. Persons who read this document should, before making any investment decision, understand the risks and the relevant laws, tax, and accounting principles and consequences, and make investment decisions based on such person's individual circumstances and investment objectives and whether such persons can bear such relevant risks, and if necessary, should seek professional advice. In the event you choose not to seek advice, you should consider whether the investment is suitable for you. Investment involves risk, including the loss of principal. Past performance figures are not indicative of future performance. Investors should refer to the Fund's prospectus for further details, including the product features and risk factors. Any person who acts upon the information contained on this website does so entirely at his/her own risk.