Important risk disclosures
INVESTMENT INVOLVES RISKS. The value of the Sub-funds can be volatile, and investors may not get back the full amount invested. Past performance is not indicative of future results.
Robeco Capital Growth Funds is an umbrella fund comprising various sub-funds (“Sub-funds”), distinguished by their respective specific investment policies or other specific features. Please read carefully for the risks of the Sub-funds:
Some Sub-funds are subject to equity investment risk, market risk, currency risk, liquidity risk and counterparty risk.
Some Sub-funds are subject to Chinese A share risk, risk relating to ChiNext market and/or the STAR Board and risk in small- and/or mid-capped companies.
Some Sub-funds may invest in emerging markets and less developed markets which may involve additional risks such as legal uncertainty, social, political and economic instability, currency control and account and taxation issues etc.
Some Sub-funds’ investments are concentrated in a single country. The value of the respective Sub-fund may be more susceptible to adverse economic, political, policy, foreign exchange, liquidity, tax, legal or regulatory event affecting the country.
Some Sub-funds may invest in debt securities and is therefore subject to credit risk, interest rate risk, risk associated with sovereign debt securities, risk of investment in non-investment grade or unrated securities and valuation risk.
Some Sub-funds may engage in securities lending transactions which may involve the risk that the recipient may fail to return the lent securities on the agreed date or furnish the requested additional collateral if required. This could result in losses and negatively impact the respective Sub-fund’s net asset value.
Some Sub-funds may invest in financial derivative instruments and are subject to high leverage risk and risk of implementing active derivative and currency position not correlated with the underlying assets. Some Sub-funds may have a net leveraged exposure of more than 100% of their respective net asset value. This may magnify any potential negative impact of any change in the value of the underlying asset on the respective Sub-funds. Other risks associated with derivatives include substantial counterparty, liquidity and hedging risks, as well as higher volatility or even a total loss of the respective Sub-fund's assets within a short period of time.
Investors holding accumulation shares of a Sub-fund will not receive any distributions. Instead, the income due to them will be automatically reinvested and added to the relevant Sub-fund and will thus contribute to a further increase in the value of the total net assets.
Investors holding distributing share classes of certain Sub-funds may receive dividend distributions paid out of capital. Distributions out of capital may result in an immediate reduction of the net asset value per share of the relevant class. Payment of dividends out of capital amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment.
Investors may suffer substantial losses of their investments in the Sub-funds. Investor should not invest in the Sub-funds solely based on the information provided in this website and should read the offering documents for details (including the risk factors).
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BP Global Premium Equities D HKD
ISIN: LU3106451845105.92( )BP Global Premium Equities D USD
ISIN: LU09515597975.01%27.56%24.69%17.32%300.86( )
BP US Premium Equities
US all-cap value approach with focus on 'characteristics that work': Valuation, Fundamentals and MomentumBP US Premium Equities D HKD
ISIN: LU3106452140104.93( )BP US Premium Equities D USD
ISIN: LU02269537184.96%11.51%10.25%13.93%492.83( )
Emerging Stars Equities
Investing in emerging economies based on top-down country analysis and bottom-up stock selectionEmerging Stars Equities DL HKD
ISIN: LU3106452736113.09( )Emerging Stars Equities DL USD
ISIN: LU161835269117.99%47.32%39.19%10.26%172.26( )
Global Consumer Trends
Investing in structural growth trends in consumer spendingGlobal Consumer Trends D HKD
ISIN: LU22582871713.65%13.51%13.09%112.31( )Global Consumer Trends D USD
ISIN: LU05548400734.69%13.45%13.13%4.18%458.11( )
Global Stars Equities
High conviction in the most attractive companies around the worldGlobal Stars Equities DL USD
ISIN: LU21004165646.75%12.59%15.07%13.17%195.75( )
Indian Equities
Investing in stocks benefiting from the Indian growth storyIndian Equities D USD
ISIN: LU0571488617-0.30%0.33%-3.21%14.94%311.27( )
QI Dynamic High Yield
Looking for long-term capital growth and diversified exposure to global high yield via CDS index derivativesQI Dynamic High Yield BxH USD
ISIN: LU3106452066101.81( )
*The current price is compiled using the fund's Net Asset Value, plus or minus surcharge or reduction associated with the transaction costs in the fund, as stated in the prospectus.
The reference to "BP" in the name of the Sub-fund (if any) is to the Portfolio Manager, Boston Partners Global Investors, Inc..
The term “QI” in the name of the Sub-fund (if any) means “Quant Investing” and illustrates that it is part of the quantitatively managed fund range of Robeco.
Important Information
Unless otherwise specified, Source: Robeco. Performance is shown as of the month end in share class currency on a NAV-to-NAV price basis with dividend reinvested, net of fees.
Where the annual performance figure falls within the inception year of a share class of the fund, it represents performance from the inception date of the share class to the end of that calendar year.
Investment involves risks. Past performance is not indicative of future performance. The information contained in this website is provided for reference only and does not constitute any investment advice or an offer or solicitation to buy or sell in any securities or to adopt any investment strategy. Investors should not base their investment decisions solely on the information provided on this website and are advised to seek independent advice (including advice on tax implications) before making any investment decisions. Investors should ensure they fully understand the risks associated with the fund and should also consider their own investment objectives and risk tolerance level. The investment decision is yours. You should not invest unless the intermediary who sells you the fund has advised you that it is suitable for you and has explained how it is consistent with your investment objectives. Please refer to the relevant offering documents, including the Prospectus, Hong Kong Offering Document and Key Facts Statement of the fund, for further details including the risk factors.
This website is published by Robeco Hong Kong Limited which is regulated by the Hong Kong Securities and Futures Commission (“SFC”) (CE No. APU851). The funds mentioned herein have been authorized by the SFC, except those specifically referred to as funds which have not been authorized. However, the SFC takes no responsibility for the soundness of the authorized unit trusts or mutual funds and does not imply that investment in them is recommended by the SFC. This website has not been reviewed by the SFC.
No assurance can be given that the investment objective of any investment products will be achieved. No representation or promise as to the performance of any investment products or the return on an investment is made. The value of investments may fluctuate. Past performance, projections, or forecasts included in this website should not be regarded as guarantees or indications of future performance, and no express or implied warranty is provided. The contents of this website are based on sources believed to be reliable, but due to the nature of information delivery technology and the necessity of using multiple data sources, including third party content, their accuracy is not guaranteed. The opinions expressed are as of the date shown above and may change as market conditions evolve, and are subject to change without notice. These opinions may differ from those of other Robeco investment professionals. Robeco accepts no liability for any direct, indirect, or consequential loss arising from the use of this material or any comments, opinions, or estimates contained herein. Robeco has no duty to update this website or any website content. Materials on this website may not be reproduced, distributed, or published without prior written permission from Robeco.
The investment returns are denominated in stated currency, which may be a foreign currency other than USD and HKD (“other foreign currency”). US/HK dollar-based investors are therefore exposed to fluctuations in the US/HK dollar / other foreign currency exchange rate.
Indices are unmanaged, and one cannot invest directly in an index. They do not reflect any fees, expenses or sales charges.
Where a reference is made to the frequency of dividend distributions, this frequency is an aim and not a guarantee. Dividend yield is not guaranteed and is not indicative of the return of a fund. Funds may, at their discretion, pay dividends out of capital or capital gains. Distributions out of capital may result in the reduction of an investor’s original capital invested in the relevant fund or from any capital gains attributable to that original investment of the relevant fund. Also, any distributions involving the capital and/or capital gains may result in an immediate reduction of the net asset value per share of the relevant class. Payment of dividends out of capital amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Please refer to Composition of the dividend payments document for details, including the explanatory notes.
Annualized dividend yield is calculated with the following formula: (Dividend payout per share / Net Asset Value (NAV) per share on the last business day of the previous month the dividend was paid in) x (12 / Number of month(s) since the last dividend payment) x 100%. Positive distribution yield does not imply a positive return. The yield figure is for reference only.
Investors holding accumulation shares of a fund will not receive any distributions. Instead, the income due to them will be automatically reinvested and added to the relevant fund and will thus contribute to a further increase in the value of the total net assets.
Certain funds promote environmental and/or social characteristics within the meaning of Article 8 of the EU Regulation on sustainability-related disclosures in the financial sector. For avoidance of doubt, these funds do not constitute a green/ESG fund pursuant to the Circular to management companies of SFC-authorized unit trusts and mutual funds – ESG funds issued by the SFC on 29 June 2021 (as amended from time to time).



