Market Review
Market Review April 2026
Our monthly assessment of Asian and ASEAN equity markets, covering key macro developments and portfolio positioning for April 2026.
Read ArticleAward-winning boutique asset management built on disciplined value investing, complete independence, and over 30 years of delivering results across Asian markets.
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* Returns shown are indicative only and based on past performance. Past performance is not indicative of future results. Please read the prospectus before investing.
"Never Fully Invest at All Times"
An original and proven investment philosophy that has successfully weathered through major crises in ASEAN volatile markets and substantially increased client wealth in the long run.
— Dr. Tan Chong Koay, Founder of PheimPheim's investment philosophy is built on independence, prudence, and long-term value creation. We believe that preserving capital during downturns is as important as growing wealth during bull markets.
From private mandates to offshore funds, Pheim offers a comprehensive range of investment vehicles for institutional and retail investors.
Bespoke portfolio management for institutional clients and high-net-worth individuals, fully customised to your investment objectives and risk profile.
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Access ASEAN and Asian markets through our offshore vehicles including the Pheim SICAV-SIF ASEAN Emerging Companies Fund, regulated in Luxembourg.
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Retail-accessible funds under Pheim Unit Trusts Berhad, approved by the Securities Commission Malaysia — professional asset management for every investor.
Learn MoreFor over 30 years, these core values have guided every decision we make for our clients.
We understand your investment objectives. Your need is our focus — we build wealth with you at the centre of every decision.
Pheim does not operate proprietary trading accounts, ensuring zero conflict of interest between Pheim and our clients.
Our long-term track record speaks for itself. The Pheim team works relentlessly to deliver superior risk-adjusted returns.
We strive for excellence for all stakeholders — clients, shareholders, and community — with ESG principles embedded in our process.
Independent recognition from the world's leading financial benchmarking organisations validates Pheim's consistent, long-term performance.
Pheim Asia Ex-Japan Fund was recognised as the Best Fund under the Equity Asia Pacific ex Japan category for the 5-year performance period — for the 4th consecutive year.
CFA Institute Asset Manager Code Compliant. Pheim Malaysia was recognised as one of the first two firms in Malaysia to comply with the CFA Institute's Asset Manager Code — providing a higher standard of ethical conduct and investor confidence.
Market Review
Our monthly assessment of Asian and ASEAN equity markets, covering key macro developments and portfolio positioning for April 2026.
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Market Review
Pheim's investment team analyses regional market performance and evaluates positioning strategies across Asian equities in March 2026.
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ESG
Our annual ESG report outlines Pheim's sustainability commitments, governance principles, and our evolving responsible investment framework.
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