|  
	
    
    
  
  
      
		
      
    
     
   | 
    
       
  
        
Fintax International Balanced Fund
 
  
              
            | 
              
             | 
            
  
 
  
    
    
       
        | 
          REGIONAL PORTFOLIO Sorted By Region
         | 
        
       
        | 
          Holdings(1 - 7)
         | 
        
          30 Jun 2025
         | 
        
          31 Dec 2024
         | 
          | 
        
       
        | 
          Holding (Region)
         | 
        
          Value 000's (USD)
         | 
        
          % of Fund
         | 
        
          Value 000's (USD)
         | 
        
          % of Fund
         | 
        
          Diff
         | 
        
     
      | 
       
        North America
       
       | 
      
       
        12 120
       
       | 
      
       
        61.20
       
       | 
      - | 
      - | 
      
       
        61.2
       
       | 
      
     
      | 
       
        Asia
       
       | 
      
       
        2 258
       
       | 
      
       
        11.40
       
       | 
      - | 
      - | 
      
       
        11.4
       
       | 
      
     
      | 
       
        Europe
       
       | 
      
       
        1 961
       
       | 
      
       
        9.90
       
       | 
      - | 
      - | 
      
       
        9.9
       
       | 
      
     
      | 
       
        United Kingdom
       
       | 
      
       
        1 267
       
       | 
      
       
        6.40
       
       | 
      - | 
      - | 
      
       
        6.4
       
       | 
      
     
      | 
       
        Japan
       
       | 
      
       
        1 446
       
       | 
      
       
        7.30
       
       | 
      - | 
      - | 
      
       
        7.3
       
       | 
      
     
      | 
       
        Latin America
       
       | 
      
       
        554
       
       | 
      
       
        2.80
       
       | 
      - | 
      - | 
      
       
        2.8
       
       | 
      
     
      | 
       
        Unit Trust
       
       | 
      
       
        198
       
       | 
      
       
        1.00
       
       | 
      - | 
      - | 
      
       
        1.0
       
       | 
      
     
      
      | 
        19 803
       | 
      
        100.00
       | 
      
        0
       | 
      
        0.00
       | 
      
     
    
   | 
  
 
       
   |