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Tokio Marine · Insurance-Linked Funds
Fidelity US High Yield Fund Dis SGD
Fixed Income · US Fixed Income · SGD
SGD 0.817
Price / NAV · 2026-08-28
2.2%
YTD
4.7%
1Y Ret.
5.4%
3Y Ann.
Identifiers
ISINLU0251145404
TickerFADS
InsurerTokio Marine
CurrencySGD
Costs & Size
Expense Ratio1.39%
Yield5.39%
AUM$2.5B
Price sourceTokio Marine fund centre
Ratings & Risk
Morningstar rating★★★☆☆
Insurer risk bandBalanced (3/4)
3Y volatility4.37%
CategoryUS Fixed Income
Fund Overview
as at 2026-06-30Country exposure
United States78.2%
United Kingdom4.5%
Others3.9%
Other Countries3.1%
Canada2.9%
France2.1%
Japan2.1%
Germany1.3%
Spain1.0%
Switzerland0.8%
Sector allocation
Government America United States Of100.0%
Corporate47.9%
Derivative46.3%
Government4.2%
Cash And Equivalents1.6%
Top holdings
5 Year Treasury Note Future Sept 263.2%
United States Treasury Bills 0%3.0%
United States Treasury Bills 0%2.0%
Jpls Trs Ibxxlltr 20/09/2026 B Morgan Jp Secur Trs Ibxxlltr 09/20/261.9%
Fidelity Ilf - Usd A Acc1.3%
Directv Financing Llc/Directv Financing Co-Obligor Inc. 9.25%0.9%
Venture Global Lng Inc. 9.875%0.9%
Wulf Compute Llc 7.75%0.8%
Asset mix
Bond91.5%
Cash7.6%
Other0.5%
Stock0.3%
Composition is reported less often than price and may lag it by several weeks.
Tokio Marine funds show the insurer's own published unit price. FWD funds show the underlying fund's NAV, which differs from an insurer's unit price by their charges. Every price carries its valuation date.