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ASIA Matthews Pacific Tiger Active ETF

09/21/2023
Inception Date
6.67%
NAV YTD Return (as of 06/23/2025)
$28.15
NAV (as of 06/23/2025)
-0.11
1 Day NAV Change (as of 06/23/2025)
Snapshot
  • Seeks alpha in Asia’s emerging economies by capitalizing on the rising Asia consumer
  • High-conviction equity portfolio focused on sustainable growth companies
  • All-cap fundamental approach driven by on-the-ground, proprietary research

Fund Facts

Fund Objective
Long-term capital appreciation
Ticker
ASIA
Inception Date
09/21/2023
Fund Assets
$35.19 million (06/23/2025)
Currency
USD
Cusip
577-130-578
Primary Exchange
NYSE Arca
MSCI All Country Asia ex Japan Index
NAV
$28.15
NAV YTD Return
6.67% (06/23/2025)
1 Day NAV Change
-0.11 (06/23/2025)
Gross Expense Ratio
0.79%

NAV & Market Price (as of 06/23/2025)

NAV $28.15
NAV Change -0.11
Market Price $28.29
Market Price Change +0.25
Day's Trading Volume 617 Shares
Median BID/ASK Spread (30 Day) 0.21% (as of 06/23/2025)
Premium Discount +0.50%

Number of days at Premium/Discount

2025 2024
Q2 Q1
Premium 21 13 127
Discount 36 46 112

The NAV of an ETF represents the value of all the securities held by the ETF such as shares or bonds and cash minus any liabilities such as Total Expense Ratio (TER), and divided by the number of shares outstanding. An ETF’s market price is the price at which investors can buy or sell an ETF on an exchange. This price may deviate from the NAV of the ETF depending on demand for and supply for the ETF at a point in time.

The Premium/Discount chart shows the difference between the daily market price of the Fund’s shares and the Fund’s net asset value (“NAV”). The daily market price is calculated using the mid-point between the highest bid and the lowest offer on the listing exchange, as of the time that the Fund’s NAV is calculated (usually 4:00 pm Eastern time). The vertical axis of the chart shows the premium or discount of the Mid-Point price as a percentage of the NAV. The horizontal axis shows the number of trading days covered by the chart, and each bar in the chart demonstrates how many days the Fund traded within the given premium/discount range. The data presented in the chart and table above represent past performance and cannot be used to predict future results.

ETFs may trade at a premium or discount to NAV. Shares of any ETF are bought and sold at market prices (not NAV) and are not individually redeemed from the Fund. Brokerage commissions will reduce returns.

Performance

  • Monthly
  • Quarterly
  • Calendar Year
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As of 05/31/2025
Average Annual Total Returns
Name 1Mo 3Mo YTD 1Yr 3Yr 5Yr 10Yr Since Inception Inception Date
ASIA - NAV
5.86% 4.98% 4.70% 7.67% n.a. n.a. n.a. 6.52% 09/21/2023
ASIA - Market Price
5.58% 4.54% 4.82% 6.69% n.a. n.a. n.a. 6.04% 09/21/2023
MSCI All Country Asia ex Japan Index
5.29% 6.15% 8.09% 15.41% n.a. n.a. n.a. 16.43%
As of 03/31/2025
Average Annual Total Returns
Name 1Mo 3Mo YTD 1Yr 3Yr 5Yr 10Yr Since Inception Inception Date
ASIA - NAV
-1.18% -1.44% -1.44% 4.55% n.a. n.a. n.a. 3.10% 09/21/2023
ASIA - Market Price
-0.73% -0.46% -0.46% 4.68% n.a. n.a. n.a. 3.18% 09/21/2023
MSCI All Country Asia ex Japan Index
0.06% 1.89% 1.89% 11.90% n.a. n.a. n.a. 13.89%
For the years ended December 31st
Name 2024
ASIA - NAV
4.78%
ASIA - Market Price
3.42%
MSCI All Country Asia ex Japan Index (USD)
12.51%

Source: BNY Mellon Investment Servicing (US) Inc. All performance is in US$.

Assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived.

Net asset value (“NAV”) returns are based on the dollar value of a single share of the ETF, calculated using the value of the underlying assets of the ETF minus its liabilities, divided by the number of shares outstanding. The NAV is typically calculated at 4:00 pm Eastern time on each business day the New York Stock Exchange is open for trading. Market returns are based on the trade price at which shares are bought and sold on the NYSE Arca, Inc. using the last share trade. Market performance does not represent the returns you would receive if you traded shares at other times. Total Return reflects the reinvestment of distributions on ex-date for NAV returns and payment date for Market Price returns. The market price of the ETF’s shares may differ significantly from their NAV during periods of market volatility.

Top 10 Holdings (as of 06/24/2025)

Ticker Name SEDOL Market Value Shares % Net Assets
TSM TAIWAN SEMICONDUCTOR MANUFACTURING CO., LTD. ADR 2113382 $2,727,219 12,967 7.8
700 TENCENT HOLDINGS, LTD. BMMV2K8 $2,131,567 33,200 6.1
9988 ALIBABA GROUP HOLDING, LTD. BK6YZP5 $1,378,154 97,640 3.9
2330 TAIWAN SEMICONDUCTOR MANUFACTURING CO., LTD. 6889106 $1,373,044 40,000 3.9
105560 KB FINANCIAL GROUP, INC. B3DF0Y6 $1,107,911 14,252 3.1
005930 SAMSUNG ELECTRONICS CO., LTD. 6771720 $1,054,069 25,155 3.0
3968 CHINA MERCHANTS BANK CO., LTD. H SHARES B1DYPZ5 $1,002,471 146,000 2.8
SE SEA, LTD. ADR BYWD7L4 $884,582 5,762 2.5
000660 SK HYNIX, INC. 6450267 $860,532 4,590 2.4
BHARTI BHARTI AIRTEL, LTD. 6442327 $818,905 36,688 2.3
388 HONG KONG EXCHANGES & CLEARING, LTD. 6267359 $726,841 14,300 2.1
DBS DBS GROUP HOLDINGS, LTD. 6175203 $701,651 20,600 2.0
GCPL GODREJ CONSUMER PRODUCTS, LTD. B1BDGY0 $660,993 48,967 1.9
HDFCB HDFC BANK, LTD. BK1N461 $636,681 28,347 1.8
1299 AIA GROUP, LTD. B4TX8S1 $634,797 72,800 1.8
2308 DELTA ELECTRONICS, INC. 6260734 $578,832 43,000 1.6
ICICIBC ICICI BANK, LTD. BSZ2BY7 $545,736 33,337 1.6
BBCA PT BANK CENTRAL ASIA TBK B01C1P6 $542,300 1,036,500 1.5
2318 PING AN INSURANCE GROUP CO. OF CHINA, LTD. H SHARES B01FLR7 $529,459 87,500 1.5
1336 NEW CHINA LIFE INSURANCE CO., LTD. H SHARES B5730Z1 $523,531 101,100 1.5
ETERNAL ETERNAL, LTD. BL6P210 $523,098 178,205 1.5
MM MAHINDRA & MAHINDRA, LTD. 6100186 $464,059 12,841 1.3
1211 BYD CO., LTD. H SHARES 6536651 $457,815 28,500 1.3
DIDIY DIDI GLOBAL, INC. ADR BMBR6F0 $433,913 89,837 1.2
035420 NAVER CORP. 6560393 $418,401 1,997 1.2
GRAB GRAB HOLDINGS, LTD. CLASS A BP6NH40 $406,588 89,164 1.2
BPI BANK OF THE PHILIPPINE ISLANDS 6074968 $370,860 161,830 1.1
2382 QUANTA COMPUTER, INC. 6141011 $370,116 39,000 1.1
5269 ASMEDIA TECHNOLOGY, INC. B6ZZQ69 $367,491 6,000 1.0
600036 CHINA MERCHANTS BANK CO., LTD. A SHARES BP3R273 $367,084 57,000 1.0
SUNP SUN PHARMACEUTICAL INDUSTRIES, LTD. 6582483 $361,232 18,849 1.0
2882 CATHAY FINANCIAL HOLDING CO., LTD. 6425663 $354,838 160,000 1.0
000333 MIDEA GROUP CO., LTD. A SHARES BD5CPP1 $338,547 33,900 1.0
2454 MEDIATEK, INC. 6372480 $337,876 8,000 1.0
KKC CUMMINS INDIA, LTD. 6294863 $336,845 8,961 1.0
600519 KWEICHOW MOUTAI CO., LTD. A SHARES BP3R2F1 $336,137 1,700 1.0
INFO INFOSYS, LTD. 6205122 $315,819 17,296 0.9
3690 MEITUAN CLASS B BGJW376 $299,625 17,900 0.9
207940 SAMSUNG BIOLOGICS CO., LTD. BYNJCV6 $296,708 414 0.8
PDD PDD HOLDINGS, INC. ADR BYVW0F7 $289,742 2,842 0.8
2345 ACCTON TECHNOLOGY CORP. 6005214 $288,339 12,000 0.8
CIMB CIMB GROUP HOLDINGS BHD 6075745 $285,932 180,600 0.8
CPN/F CENTRAL PATTANA PUBLIC CO., LTD. B6SR6J5 $283,750 216,000 0.8
1776 GF SECURITIES CO., LTD. H SHARES BW4NKK8 $283,157 181,600 0.8
9961 TRIP.COM GROUP, LTD. BNYK8H9 $278,145 4,900 0.8
CIFC CHOLAMANDALAM INVESTMENT AND FINANCE CO., LTD. BJ9K2H4 $271,945 14,897 0.8
960 LONGFOR GROUP HOLDINGS, LTD. B56KLY9 $257,042 216,500 0.7
002050 ZHEJIANG SANHUA INTELLIGENT CONTROLS CO., LTD. A SHARES BD5CDC4 $256,203 75,100 0.7
2383 ELITE MATERIAL CO., LTD. 6316121 $252,600 9,000 0.7
6669 WIWYNN CORP. BF4QXG5 $249,975 3,000 0.7
600885 HONGFA TECHNOLOGY CO., LTD. A SHARES 6950347 $247,320 81,900 0.7
028260 SAMSUNG C&T CORP. BSXN8K7 $240,155 2,057 0.7
329180 HD HYUNDAI HEAVY INDUSTRIES CO., LTD. BMDHSH4 $217,979 696 0.6
267260 HD HYUNDAI ELECTRIC CO., LTD. BD4HFR9 $209,921 613 0.6
214150 CLASSYS, INC. BWT5WS1 $209,413 4,799 0.6
3661 ALCHIP TECHNOLOGIES, LTD. B4TPSL0 $190,476 2,000 0.5
2317 HON HAI PRECISION INDUSTRY CO., LTD. 6438564 $178,496 34,000 0.5
T TELEKOM MALAYSIA BHD 6868398 $173,701 113,900 0.5
1109 CHINA RESOURCES LAND, LTD. 6193766 $169,309 49,500 0.5
HDFCAMC HDFC ASSET MANAGEMENT CO., LTD. BG0R3M5 $166,972 2,933 0.5
2359 WUXI APPTEC CO., LTD. H SHARES BGHH0L6 $164,801 17,400 0.5
DIXON DIXON TECHNOLOGIES INDIA, LTD. BNC5412 $158,562 944 0.5
669 TECHTRONIC INDUSTRIES CO., LTD. B0190C7 $154,882 14,500 0.4
FPT FPT CORP. B1HMWH6 $154,091 34,850 0.4
ACB ASIA COMMERCIAL BANK JSC B1GJZD5 $147,526 181,125 0.4
2423 KE HOLDINGS, INC. A SHARES BN7SX97 $144,619 23,800 0.4
IBN ICICI BANK, LTD. ADR 2569286 $136,157 4,160 0.4
005380 HYUNDAI MOTOR CO. 6451055 $127,088 873 0.4
MAXHEAL MAX HEALTHCARE INSTITUTE, LTD. BMB2291 $102,420 7,465 0.3
259960 KRAFTON, INC. BMBP900 $97,998 387 0.3
MMYT MAKEMYTRIP, LTD. B552PC2 $94,896 1,037 0.3
8069 E INK HOLDINGS, INC. 6744283 $92,967 13,000 0.3
300015 AIER EYE HOSPITAL GROUP CO., LTD. A SHARES BD5CLQ4 $86,569 52,069 0.2
9618 JD.COM, INC. CLASS A BKPQZT6 $85,055 5,350 0.2
INFY INFOSYS, LTD. ADR 2398822 $67,658 3,738 0.2
CPNG COUPANG, INC. BNYHDF3 $35,333 1,245 0.1
CASH CASH AND OTHERS $1,757,152 5.0
CURR CNY $3,942 0.0
CURR INR $0 0.0
TOTAL 37.9

Portfolio Breakdown (%) (as of 03/31/2025)

  • Sector Allocation
  • Country Allocation
  • Market Cap Exposure
Sector Fund Benchmark Difference
Financials 25.5 22.6 2.9
Information Technology 22.5 24.5 -2.0
Consumer Discretionary 19.1 15.7 3.4
Communication Services 10.8 11.3 -0.5
Industrials 6.0 7.1 -1.1
Health Care 3.8 3.5 0.3
Consumer Staples 3.1 3.8 -0.7
Real Estate 2.7 2.2 0.5
Materials 0.0 3.7 -3.7
Energy 0.0 3.2 -3.2
Utilities 0.0 2.5 -2.5
Cash and Other Assets, Less Liabilities 6.7 0.0 6.7

Sector data based on MSCI’s revised Global Industry Classification Standards. For more details, visit www.msci.com.

Country Fund Benchmark Difference
China/Hong Kong 39.2 40.5 -1.3
Taiwan 18.1 19.1 -1.0
India 17.2 21.1 -3.9
South Korea 8.0 10.2 -2.2
Singapore 4.7 4.2 0.5
Indonesia 1.6 1.4 0.2
Malaysia 1.4 1.5 -0.1
Philippines 1.1 0.6 0.5
Vietnam 1.0 0.0 1.0
Thailand 0.9 1.3 -0.4
Macau 0.0 0.1 -0.1
Cash and Other Assets, Less Liabilities 6.7 0.0 6.7

Not all countries are included in the benchmark index(es).

Equity market cap of issuer Fund Benchmark Difference
Mega Cap (over $25B) 64.8 63.9 0.9
Large Cap ($10B-$25B) 17.2 20.6 -3.4
Mid Cap ($3B-$10B) 10.6 15.2 -4.6
Small Cap (under $3B) 0.8 0.2 0.6
Cash and Other Assets, Less Liabilities 6.7 0.0 6.7

Source: FactSet Research Systems.

Percentage values in data are rounded to the nearest tenth of one percent, so the values may not sum to 100% due to rounding. Percentage values may be derived from different data sources and may not be consistent with other Fund literature.

Portfolio Characteristics (as of 03/31/2025)

Fund Benchmark
Number of Positions 76 1,020
Weighted Average Market Cap $183.2 billion $170.5 billion
Active Share 62.7 n.a.
P/E using FY1 estimates 14.4x 13.1x
P/E using FY2 estimates 12.5x 11.8x
Price/Cash Flow 9.7 8.4
Price/Book 2.3 1.8
Return On Equity 18.6 17.5
EPS Growth (3 Yr) 15.3% 11.6%

Sources: Factset Research Systems, Inc.

Distributions

Ex Date Record Date Pay Date Reinvest Date Ordinary
Income
Short Term
Capital Gains
Long Term
Capital Gains
Total Distributions
Per Share
% of NAV
12/18/2024 12/18/2024 12/23/2024 12/18/2024 $0.07982 $0.07266 $0.00000 $0.15248 0.6%
12/14/2023 12/15/2023 12/21/2023 12/14/2023 $0.03003 $0.00000 $0.00000 $0.03003 0.1%

 

There is no guarantee that the Fund will pay or continue to pay distributions. 

Past performance is no guarantee of future results. Investment return and principal value will fluctuate with changing market conditions so that shares, when redeemed, may be worth more or less than their original cost.

Portfolio Managers

Inbok Song

Andrew Mattock, CFA

Winnie Chwang

 

Visit our Glossary of Terms page for definitions and additional information.

Index Definitions

The information contained herein has been derived from sources believed to be reliable and accurate at the time of compilation, but no representation or warranty (express or implied) is made as to the accuracy or completeness of any of this information. Neither the funds nor the Investment Advisor accept any liability for losses either direct or consequential caused by the use of this information.