Platinum Japan Fund
Return
12.0% p.a.*
since 30 Jun 1998
FEATURES
Delivering strong absolute returns since 1998*
Outperforming benchmark since inception* through fundamentals-driven stock selection
A carefully curated portfolio of Japanese companies
WAYS TO INVEST
*Fund returns are annualised, are calculated using the net asset value per unit (which does not include the buy/sell spread) of C Class of the fund, and represent the combined income and capital returns of C Class over the period from its inception date (30 June 1998) to 31 October 2024. Returns are net of accrued fees and costs, are pre-tax, and assume the reinvestment of distributions. Relative returns are relative to the MSCI Japan Net Index (A$) (except the gross index was used prior to 31 December 1998 as the net index did not exist then). The investment returns shown are historical and no warranty can be given for future performance. Historical performance is not a reliable indicator of future performance. Source: Platinum Investment Management Limited.