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International Selection UCITS Fund Price Chart

About International Selection UCITS Fund

This fund is a Schroder International Selection sub-fund offered through the firm's Luxembourg-domiciled UCITS platform. It allocates the portfolio according to the specific sub-fund's investment policy, drawing on Schroders' range of global equity, fixed income, and multi-asset strategies. The strategy employs Schroders' global research approach with portfolio managers expressing high-conviction views within the sub-fund's mandate. Through Schroders' actively managed International Selection platform, the fund provides access to Schroders' investment expertise, appropriate for investors seeking Schroders-managed strategies through a regulated UCITS structure.

Key Information

Minimum Investment $50
Net Asset Value (NAV) $31.89
Expense ratio 1.87%
AMC Schroder Im Europe (lu)
Domicile Luxembourg (LU)
Exit Load 0.00%
Assets Under Management (AUM) $1.3B
Inception date January 17, 2000
Share Class A
Settlement Period T+3 days

International Selection UCITS Fund Returns

Time Frame Absolute Annualised
1-Year Return +7.84% +7.84%
3-Year Return +21.24% +6.77%
5-Year Return +10.72% +2.06%
10-Year Return +17.42% +1.62%
All Time Return +195.24% +4.15%

Holding Distribution

  • Government Bond 70.70%
  • Treasury Bills 14.29%
  • Corporate Bonds 5.41%
  • Cash 2.80%
  • Convertible Bond 2.67%
  • Floating Rate Notes 2.22%
  • Debt Other 1.58%
  • Asset Backed Securities 0.44%
  • Credit Default Swaps 0.28%
  • Options 0.06%
  • Government 71.97%
  • Other 10.07%
  • Financials 1.48%
  • Government Related Development Bank Supranational 1.06%
  • Materials 0.91%
  • Communication Services 0.91%
  • Energy 0.74%
  • Industrials 0.60%
  • Consumer Discretionary 0.45%
  • Real Estate 0.43%
  • Consumer Staples 0.24%
  • United States (USA) 14.59%
  • Brazil (BRA) 11.01%
  • Colombia (COL) 6.93%
  • South Africa (ZAF) 6.83%
  • Mexico (MEX) 5.20%
  • Egypt (EGY) 4.83%
  • Nigeria (NGA) 4.43%
  • South Korea (KOR) 3.82%
  • Turkey (TUR) 3.22%
  • India (IND) 3.09%
  • Czech Republic (CZE) 2.97%
  • Hungary (HUN) 2.54%
  • Poland (POL) 2.45%
  • GLB 2.38%
  • Angola (AGO) 2.31%
  • Romania (ROU) 2.31%
  • Indonesia (IDN) 2.20%
  • Philippines (PHL) 2.16%
  • Peru (PER) 1.98%
  • Ecuador (ECU) 1.77%
  • Chile (CHL) 1.75%
  • Argentina (ARG) 1.67%
  • Ivory Coast (CIV) 1.48%
  • Malaysia (MYS) 1.33%
  • Cayman Islands (CYM) 0.89%
  • Dominican Republic (DOM) 0.83%
  • Jersey (JEY) 0.71%
  • Luxembourg (LUX) 0.69%
  • Canada (CAN) 0.66%
  • Mauritius (MUS) 0.53%
  • United Kingdom (GBR) 0.52%
  • Ireland (IRL) 0.43%
  • Jamaica (JAM) 0.38%
  • Thailand (THA) 0.36%
  • Hong Kong (HKG) 0.27%
  • Netherlands (NLD) 0.17%
  • British Virgin Islands (VGB) 0.14%
  • Ukraine (UKR) 0.12%
  • China (CHN) 0.05%
  • US Dollar (USD) 36.48%
  • Brazilian Real (BRL) 8.95%
  • South African Rand (ZAR) 6.40%
  • Colombian Peso (COP) 5.87%
  • South Korean Won (KRW) 5.29%
  • Mexican Peso (MXN) 5.22%
  • Indian Rupee (INR) 4.35%
  • Egyptian Pound (EGP) 3.42%
  • NGN 3.42%
  • Turkish Lira (TRY) 3.22%
  • Malaysian Ringgit (MYR) 3.01%
  • Romanian Leu (RON) 2.31%
  • Peruvian Sol (PEN) 1.98%
  • Czech Koruna (CZK) 1.97%
  • Chilean Peso (CLP) 1.75%
  • Hungarian Forint (HUF) 1.59%
  • Polish Złoty (PLN) 1.44%
  • Indonesian Rupiah (IDR) 1.24%
  • Philippine Peso (PHP) 0.95%
  • DOP 0.83%
  • UAH 0.12%
  • Thai Baht (THB) 0.10%
  • Chinese Yuan (CNY) 0.05%
  • Euro (EUR) 0.04%
  • British Pound (GBP) 0.00%
  • Treasury Bill Sr Govt 0% 03 Sep 2026 4.9%
  • Secretaria Tesouro Nacional 10.000% 01/01/2035 BRL National Government 4.3%
  • Treasury Bill Sr Govt 0% 22 Oct 2026 4.0%
  • Korea (republic Of) Sr 3606 4.25% 10 Jun 2036 3.8%
  • Secretaria Tesouro Nacional 10.000% 01/01/2033 BRL National Government Agen 3.2%
  • Us Treasury Bond 4.75% 15 Feb 2056 2.9%
  • Colombia (Republic of) 13.250% 02/09/2033 COP SNR National Government 2.8%
  • Hungary (Republic Of) 7.000% 10/24/2035 HUF UNSUB National Government 2.6%
  • Brazil Federative Republic Of (gov Sr Ntnf 10% 01 Jan 2037 2.6%
  • Indonesia (republic Of) Fr0108 Sr 108 6.5% 15 Apr 2036 2.2%

Investment Calculator

Yr
%
Invested $1,908
Expected returns $4,018
Total Value $5,926

Scheme Documents

FAQ

What is International Selection UCITS Fund NAV today?

The latest Net Asset Value (NAV) of International Selection UCITS Fund is $31.89 as of the most recent trading day.

Can Indian residents invest in International Selection UCITS Fund?

Yes. Indian residents can invest in this UCITS fund via Vested under the RBI Liberalised Remittance Scheme (LRS).

What is the minimum investment for International Selection UCITS Fund?

You can start investing in this fund with as little as $50.

What is the expense ratio of International Selection UCITS Fund?

The fund has an expense ratio of 1.87%.

How to invest in International Selection UCITS Fund from India?

  1. Sign up and complete your KYC on Vested.
  2. Add funds via LRS from your bank account.
  3. Search for the fund and place your order.

Is there a lock-in period or exit load?

This fund has no lock-in period and no exit load, though standard settlement of T+3 days applies.

What currency risks should I be aware of?

The fund is denominated in USD. Returns in INR terms are also affected by USD-INR currency movement in addition to fund performance.

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