Important information.
Why ABALL-TESGX?
Dynamic Moves Across Market Cycles
Harnessing the insights of world-class analysts and local experts to deliver precise market analysis and dynamically adjust your investment portfolio for optimal performance in any market condition.
Expansion
Seize the bull market with a proactive investment strategy
Increase your equity investment proportion to over 85%, focusing on high-quality growth stocks. Prioritize small-cap stocks for maximum potential over large-cap stocks.
Slowdown
Safeguard your investments during market slowdowns.
Increase your investment in secure debt instruments. Shift to robust, large-cap stocks with high growth potential. Minimize exposure to small-cap stocks for a balanced and resilient portfolio.
Recession
Strengthen your investments during market downturns
Maximize your investment in debt instruments. Opt for value stocks and dividend-paying stocks. Prioritize large-cap stocks over small-cap stocks.
Recovery
Capitalize on investment opportunities during
Reduce the proportion of debt instruments. Focus on growth stocks and trending stocks. Increase your allocation to small-cap stocks as the market rebounds.
Robust Investment Process to Maximize Total Returns
Strategically plan and smartly adjust your portfolio to maximize potential for outstanding returns.
Top-down analysis
Evaluate market conditions to strategically balance equity and fixed income proportions, ensuring alignment with economic cycles and market trends.
Portfolio construction
Combine strategic allocation of stocks and bonds with expert asset selection to build a robust investment portfolio.
Bottom-up selection
Key benefits of investing in abrdn wealth plus funds:Identify top-performing assets suited to any market condition to achieve optimal returns at all times.
ESG integration
We integrate ESG analysis into our investment process and invest only in companies that meet Aberdeen's ESG standards. This way, we not only make responsible investments but also actively encourage ESG improvements in those companies.
ESG stock analysis
Our fund managers conduct ESG analysis of stocks, ranking companies into 5 groups to identify the best investment opportunities.
- Best in classCompanies that integrate ESG as a core part of their corporate strategy and provide comprehensive and excellent disclosures.
- LeaderCompanies that incorporate ESG into their corporate strategy, though not market leaders, and provide good disclosures.
- AverageCompanies that incorporate ESG risk factors into their business operations and provide disclosures that meet regulatory standards.
- Below averageCompanies that may have some financial data controversies and limited oversight on ESG issues.
- LaggardCompanies that may have multiple financial data controversies and significant concerns regarding corporate governance.
Fixed income ESG analysis
Our fund managers carefully evaluate ESG risks before making investment decisions. Ratings are categorized into 3 groups.
- Low risk
- Medium risk
- High risk
Available shareclasses and benefits
Our distributors
Being investment professionals, we aim to have our funds objectively marketed by other service providers. Aberdeen Asset Management (Thailand) Limited's funds are available from a range of distributors including e-platforms, banks, insurance, financial advisers and brokerages. if you would like to invest or require financial advice please get in touch with one of these distributors.