Overview
Matthews Asia Pacific Equity Income Fund
Inception Date: 10/31/06
Geographic Focus: The Asia Pacific region, which
includes Australia, China, Hong Kong, India, Indonesia, Japan, Malaysia,
New Zealand, Pakistan, Philippines, Singapore, South Korea, Taiwan,
Thailand and Vietnam.
Benchmark: MSCI All Country Asia Pacific Index
Fund Assets: $80.2 million (as of 11/30/08)
Symbol: MAPIX
CUSIP: 577-125-107
Investment Objective
Total return with an emphasis on providing current income.
Strategy
Under normal market conditions, the Fund invests at least 80% of its total net assets in income-paying publicly traded common stocks, preferred stocks, convertible preferred stocks, and other equity-related instruments of companies located in the Asia Pacific region. The Asia Pacific region includes Australia, China, Hong Kong, India, Indonesia, Japan, Malaysia, New Zealand, Pakistan, Philippines, Singapore, South Korea, Taiwan, Thailand and Vietnam.
Distributions
The Matthews Asia Pacific Equity Income Fund intends to distribute its dividends quarterly. Dividend distributions were paid on December 10, 2008 to shareholders of record as of December 9, 2008. Distribution information is available here.
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Portfolio Managers
Lead Manager:
Jesper Madsen, CFA
Co-Manager:
Andrew T. Foster
Fees and Expenses
Gross Expense Ratio1: 1.41%
Fiscal Year 2007 (ended 12/31/07)
1 Ratio has been restated to reflect current management and administrative and shareholder servicing fees expected to be incurred by the Funds and paid to the Advisor. The Advisor has contractually agreed to waive fees and reimburse expenses to the extent needed to limit total annual operating expenses to 1.50% until October 31, 2009. Matthews Asia Funds do not charge 12b-1 fees.
Portfolio Turnover2: 26.95%
Fiscal Year 2007 (ended 12/31/07)
2 The lesser of fiscal year 2007 long-term
purchase costs or sales proceeds divided by the average monthly market
value of long-term securities.
Risks of Investment
Learn about the principal risks of investing in the Funds as well as the regional and country risks.