Local Currency

Ashmore Emerging Markets Local Currency Bond Fund

فئة أسهم الصندوق
السعر
USD 6.08
As at 24 أبريل 2025
عدد مرّات التداول
Daily
حجم الصندوق
USD 9,077,790
As at 31 مارس 2025
فئة الأسهم
C
عملة فئة الأسهم
USD
تفاصيل
تاريخ إطلاق الصندوق
رمز بلومبيرج
ELBCX
كود الترقيم الدولي
US0448208688
رقم لجنة الإجراءات الموحدة لتعريف الأوراق المالية
044820868
عدد مرات دفع توزيعات الأرباح
Monthly
تاريخ إطلاق فئة الأسهم
تحوّط العملات
No
المقرّ
USA
نهاية السنة المالية
العملة الرئيسية للصندوق USD
رمز الصندوق
40ACT-AEMLCBF
الحد الأدنى للاستثمار 1,000
الحد الأدنى للاستثمارات الإضافية 50
نسبة الرسوم الإدارية السنوية
0.75%
مدير

The Northern Trust Company (“Northern Trust”)

المدقّق

KPMG LLP

مدير الحفظ

The Northern Trust Company (the “Custodian”),
PO Box 4766,
Chicago,
IL 60680-4769

المسجّل

The Northern Trust Company (the “Transfer Agent”),
PO Box 4766,
Chicago,
IL 60680-4769

Fund Share Class Documents
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Fund Documents
Click any of the documents below to view and download
2012 8937 Ashmore Emerging Markets Local Currency Bond Fund
2013 8937 Ashmore Emerging Markets Local Currency Bond Fund
2014 8937 Ashmore Emerging Markets Local Currency Bond Fund
2015 8937 Ashmore Emerging Markets Local Currency Bond Fund
2016 8937 Ashmore Emerging Markets Local Currency Bond Fund
2017 8937 Ashmore Emerging Markets Local Currency Bond Fund
2018 8937 Ashmore Emerging Markets Local Currency Bond Fund
2019 8937 Ashmore Emerging Markets Local Currency Bond Fund
2020 8937 Ashmore Emerging Markets Local Currency Bond Fund
Quarterly fund card (Retail)
2022 8937 Ashmore Emerging Markets Local Currency Bond Fund
40 Act - Range Documents
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40 Act - Estimated 2024 Capital Gain Distributions - 31 July 2024
Fund Proxy Voting Record (N-PX)
40 Act - 2022 Section 19 Notice
Ashmore 163(j) Interest Dividend 2022
Application form - I Shares
Application form - A and C Shares
40 Act - Monthly Summary
40 Act - Estimated 2024 Capital Gain Distributions - 30 September 2024
40 Act - Estimated 2024 Capital Gain Distributions - 31 October 2024
40 Act - Financial statements Documents
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Semi Annual Report and Accounts (30.04.2011)
Annual Report and Accounts (31.10.2011)
Semi Annual Report and Accounts (30.04.2012)
Annual Report and Accounts (31.10.2012)
Semi Annual Report and Accounts (30.04.2013)
Annual Report and Accounts (31.10.2013)
Semi Annual Report and Accounts (30.04.2014)
Annual Report and Accounts (31.10.2014)
Semi Annual Report and Accounts (30.04.2015)
Annual Report and Accounts (31.10.2015)
Semi Annual Report and Accounts (30.04.2016)
Annual Report and Accounts (31.10.2016)
Semi Annual Report and Accounts (30.04.2017)
Annual Report and Accounts (31.10.2017)
Semi Annual Report and Accounts (30.04.2018)
Annual Report and Accounts (31.10.2018)
Semi Annual Report and Accounts (30.04.2019)
Annual Report and Accounts (31.10.2019)
Annual Report and Accounts (31.10.2020)
Semi Annual Report and Accounts (30.04.2021)
Annual Report and Accounts (31.10.2021)
Semi Annual Report and Accounts (30.04.2022)
Semi Annual Report and Accounts (30.04.2020)

INVESTMENT CONSIDERATIONS: There can be no guarantee that any strategy will be successful. All investing involves risk, including the potential loss of principal. Certain risks related to an investment in the Funds are summarized below:

Foreign Investment & Emerging Markets Risk: Foreign investments can be riskier than U.S. investments. Potential risks include currency risk that may result from unfavorable exchange rates, liquidity risk if decreased demand for a security makes it difficult to sell at the desired price, and risks that stem from substantially lower trading volume on foreign markets. These risks are generally greater for investments in emerging markets, which are also subject to greater price volatility, and custodial and regulatory risks.

Foreign Markets: Investments in foreign markets entail special risks such as currency, political, economic, and market risks. The risks of investing in emerging-market countries are greater than the risks generally associated with foreign investments. Frontier market countries generally have smaller economies and even less developed capital markets or legal and political systems than traditional emerging market countries. As a result, the risks of investing in emerging market countries are magnified in frontier market countries.

Bond Funds will tend to experience smaller fluctuations in value than stock funds. However, investors in any bond fund should anticipate fluctuations in price, especially for longer-term issues and in environments of rising interest rates. Interest rate risk is the risk that the values of the debt securities and other instruments in a fund’s portfolio will decline because of increases in interest rates, which can adversely affect the fund’s performance.

Non-Diversified Risk: The fund is non-diversified, so it may be more exposed to the risks associated with individual issuers than a diversified fund.

Derivatives Risk: Investments in derivatives can be volatile. Potential risks include currency risk, leverage risk (the risk that small market movements may result in large changes in the value of an investment), liquidity risk, index risk, pricing risk, and counterparty risk (the risk that the counterparty may be unwilling or unable to honor its obligations).

Ashmore Investment Management (US) Corp., a broker-dealer registered with the Securities and Exchange Commission, is the principal underwriter and distributor of the Funds' shares.

Before investing you should carefully consider the Funds' investment objectives, risk, charges, and expenses. This and other information is in the prospectus, a copy of which may be obtained from: Ashmore Investment Management (U.S.) Corp, 437 Madison Avenue, Suite 1904, New York, NY 10022, or by calling Northern Trust, the transfer agent, at 1-866-876-8294. Please read the prospectus carefully before you invest.