0001193125-16-701868.txt : 20160906 0001193125-16-701868.hdr.sgml : 20160906 20160906152756 ACCESSION NUMBER: 0001193125-16-701868 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 32 CONFORMED PERIOD OF REPORT: 20160630 FILED AS OF DATE: 20160906 DATE AS OF CHANGE: 20160906 EFFECTIVENESS DATE: 20160906 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MATTHEWS INTERNATIONAL FUNDS CENTRAL INDEX KEY: 0000923184 IRS NUMBER: 000000000 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-08510 FILM NUMBER: 161870737 BUSINESS ADDRESS: STREET 1: FOUR EMBARCADERO CENTER STREET 2: SUITE 550 CITY: SAN FRANCISCO STATE: CA ZIP: 94111 BUSINESS PHONE: 8007898742 MAIL ADDRESS: STREET 1: FOUR EMBARCADERO CENTER STREET 2: SUITE 550 CITY: SAN FRANCISCO STATE: CA ZIP: 94111 0000923184 S000001029 MATTHEWS PACIFIC TIGER FUND C000002785 Investor Class Shares MAPTX C000093221 Institutional Class Shares MIPTX 0000923184 S000001030 MATTHEWS ASIAN GROWTH AND INCOME FUND C000002786 Investor Class Shares MACSX C000093222 Institutional Class Shares MICSX 0000923184 S000001031 MATTHEWS KOREA FUND C000002788 Investor Class Shares MAKOX C000093223 Institutional Class Shares MIKOX 0000923184 S000001032 MATTHEWS CHINA FUND C000002790 Investor Class Shares MCHFX C000093224 Institutional Class Shares MICFX 0000923184 S000001033 MATTHEWS JAPAN FUND C000002791 Investor Class Shares MJFOX C000093225 Institutional Class Shares MIJFX 0000923184 S000001034 MATTHEWS ASIA INNOVATORS FUND C000002792 Investor Class Shares MATFX C000093226 Institutional Class Shares MITEX 0000923184 S000001035 MATTHEWS ASIA GROWTH FUND C000002793 Investor Class Shares MPACX C000093227 Institutional Class Shares MIAPX 0000923184 S000001036 MATTHEWS INDIA FUND C000002794 Investor Class Shares MINDX C000093228 Institutional Class Shares MIDNX 0000923184 S000013856 MATTHEWS ASIA DIVIDEND FUND C000038018 Investor Class Shares MAPIX C000093229 Institutional Class Shares MIPIX 0000923184 S000023269 MATTHEWS ASIA SMALL COMPANIES FUND C000068052 Investor Class Shares MSMLX C000093230 Institutional Class Shares MISMX 0000923184 S000027009 MATTHEWS CHINA DIVIDEND FUND C000081250 Investor Class Shares MCDFX C000093231 Institutional Class Shares MICDX 0000923184 S000032816 MATTHEWS CHINA SMALL COMPANIES FUND C000101279 Investor Class Shares MCSMX 0000923184 S000034706 MATTHEWS ASIA STRATEGIC INCOME FUND C000106892 Institutional Class Shares MINCX C000106893 Investor Class Shares MAINX 0000923184 S000040682 MATTHEWS ASIA FOCUS FUND C000126153 Institutional Class Shares MIFSX C000126154 Investor Class Shares MAFSX 0000923184 S000040683 MATTHEWS EMERGING ASIA FUND C000126155 Institutional Class Shares MIASX C000126156 Investor Class Shares MEASX 0000923184 S000049136 Matthews Asia ESG Fund C000154925 Investor Class Shares MASGX C000154926 Institutional Class Shares MISFX 0000923184 S000051743 MATTHEWS ASIA VALUE FUND C000162839 Investor Class Shares MAVRX C000162840 Institutional Class Shares MAVAX 0000923184 S000053714 MATTHEWS ASIA CREDIT OPPORTUNITIES FUND C000168876 Investor Class Shares MCRDX C000168877 Institutional Class Shares MICPX N-CSRS 1 d231599dncsrs.htm FORM N-CSRS Form N-CSRS
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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM N-CSR

 

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-08510

 

 

Matthews International Funds

(Exact name of registrant as specified in charter)

 

 

Four Embarcadero Center, Suite 550

San Francisco, CA 94111

(Address of principal executive offices) (Zip code)

 

 

William J. Hackett, President

Four Embarcadero Center, Suite 550

San Francisco, CA 94111

(Name and address of agent for service)

 

 

Registrant’s telephone number, including area code: 415-788-7553

Date of fiscal year end: December 31

Date of reporting period: June 30, 2016

 

 

Form N-CSR is to be used by management investment companies to file reports with the Commission not later than 10 days after the transmission to stockholders of any report that is required to be transmitted to stockholders under Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1). The Commission may use the information provided on Form N-CSR in its regulatory, disclosure review, inspection, and policymaking roles.

A registrant is required to disclose the information specified by Form N-CSR, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-CSR unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 100 F Street, NE, Washington, DC 20549. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

 

 

 


Table of Contents
Item 1. Reports to Stockholders.

The Report to Shareholders is attached herewith.


Table of Contents

Matthews Asia Funds  |  Semi-Annual Report

June 30, 2016  |  matthewsasia.com

 

ASIA FIXED INCOME STRATEGIES

Matthews Asia Strategic Income Fund

Matthews Asia Credit Opportunities Fund

ASIA GROWTH AND INCOME STRATEGIES

Matthews Asian Growth and Income Fund

Matthews Asia Dividend Fund

Matthews China Dividend Fund

ASIA VALUE STRATEGY

Matthews Asia Value Fund

ASIA GROWTH STRATEGIES

Matthews Asia Focus Fund

Matthews Asia Growth Fund

Matthews Pacific Tiger Fund

Matthews Asia ESG Fund

Matthews Emerging Asia Fund

Matthews Asia Innovators Fund

Matthews China Fund

Matthews India Fund

Matthews Japan Fund

Matthews Korea Fund

ASIA SMALL COMPANY STRATEGIES

Matthews Asia Small Companies Fund

Matthews China Small Companies Fund

 

 

LOGO

 

'16

 

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Table of Contents

LOGO

 


Table of Contents

Contents

 

Message to Shareholders from the Investment Advisor     4   
Manager Commentaries, Fund Characteristics and Schedules of Investments:   
ASIA FIXED INCOME STRATEGIES  
Matthews Asia Strategic Income Fund     6   
Matthews Asia Credit Opportunities Fund     11   
ASIA GROWTH AND INCOME STRATEGIES  
Matthews Asian Growth and Income Fund     15   
Matthews Asia Dividend Fund     20   
Matthews China Dividend Fund     25   
ASIA VALUE STRATEGY  
Matthews Asia Value Fund     30   
ASIA GROWTH STRATEGIES  
Matthews Asia Focus Fund     34   
Matthews Asia Growth Fund     38   
Matthews Pacific Tiger Fund     42   
Matthews Asia ESG Fund     47   
Matthews Emerging Asia Fund     52   
Matthews Asia Innovators Fund*     56   
Matthews China Fund     60   
Matthews India Fund     65   
Matthews Japan Fund     70   
Matthews Korea Fund     75   
ASIA SMALL COMPANY STRATEGIES  
Matthews Asia Small Companies Fund     80   
Matthews China Small Companies Fund     85   
Disclosures     90   
Index Definitions     91   
Disclosure of Fund Expenses     92   
Statements of Assets and Liabilities     96   
Statements of Operations     104   
Statements of Changes in Net Assets     108   
Financial Highlights     117   
Notes to Financial Statements     135   
Approval of Investment Advisory Agreement     153   

*The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

Cover photo: Karaweik palace in Yangon, Myanmar

 

 

This report has been prepared for Matthews Asia Funds shareholders. It is not authorized for distribution to prospective investors unless accompanied or preceded by a current Matthews Asia Funds prospectus, which contains more complete information about the Funds’ investment objectives, risks and expenses. Additional copies of the prospectus or summary prospectus may be obtained at matthewsasia.com. Please read the prospectus carefully before you invest or send money.

The views and opinions in this report were current as of June 30, 2016. They are not guarantees of performance or investment results and should not be taken as investment advice. Investment decisions reflect a variety of factors, and the managers reserve the right to change their views about individual stocks, sectors and the markets at any time. As a result, the views expressed should not be relied upon as a forecast of a Fund’s future investment intent. Current and future portfolio holdings are subject to risk.

Statements of fact are from sources considered reliable, but neither the Funds nor the Investment Advisor makes any representation or guarantee as to their completeness or accuracy.

Investment Risk: Mutual fund shares are not deposits or obligations of, or guaranteed by, any depositary institution. Shares are not insured by the FDIC, Federal Reserve Board or any government agency and are subject to investment risks, including possible loss of principal amount invested. Investing in international and emerging markets may involve additional risks, such as social and political instability, market illiquidity, exchange-rate fluctuations, a high level of volatility and limited regulation. Fixed income investments are subject to additional risks, including, but not limited to, interest rate, credit and inflation risks. In addition, single-country and sector funds may be subject to a higher degree of market risk than diversified funds because of concentration in a specific industry, sector or geographic location. Investing in small and mid-size companies is more risky than investing in large companies as they may be more volatile and less liquid than larger companies. Please see the Funds’ prospectus and Statement of Additional Information for more risk disclosure.


Table of Contents

Investor Class Performance and Expenses (June 30, 2016)

 

Investor Class

        Average Annual Total Return     Inception
Date
    Prospectus
Expense
Ratios*
    Prospectus
Expense Ratios
after Fee Waiver
and Expense
Reimbursement*
 
  1 year     5 years     10 years     Since
Inception
       

ASIA FIXED INCOME STRATEGIES

             

Asia Strategic Income Fund (MAINX)

    4.82%        n.a.        n.a.        4.31%        11/30/11        1.28%        1.12% 1 

Asia Credit Opportunities Fund (MCRDX)

    n.a.        n.a.        n.a.        1.46%        4/29/16        2.10%        1.10% 1 

ASIA GROWTH AND INCOME STRATEGIES

             

Asian Growth and Income Fund (MACSX)

    -1.18%        3.51%        6.83%        9.54%        9/12/94        1.09%        n.a.   

Asia Dividend Fund (MAPIX)

    -1.81%        5.82%        n.a.        8.98%        10/31/06        1.06%        1.05% 2 

China Dividend Fund (MCDFX)

    -11.53%        5.97%        n.a.        8.35%        11/30/09        1.19%        n.a.   

ASIA VALUE STRATEGY

             

Asia Value Fund (MAVRX)

    n.a.        n.a.        n.a.        1.85%        11/30/15        36.42%        1.50% 3 

ASIA GROWTH STRATEGIES

             

Asia Focus Fund (MAFSX)

    -5.35%        n.a.        n.a.        -1.50%        4/30/13        2.07%        1.50% 3 

Asia Growth Fund (MPACX)

    -0.86%        5.01%        6.56%        8.81%        10/31/03        1.11%        n.a.   

Pacific Tiger Fund (MAPTX)

    -5.04%        4.34%        9.19%        8.51%        9/12/94        1.09%        1.07% 2 

Asia ESG Fund (MASGX)

    -7.12%        n.a.        n.a.        -7.42%        4/30/15        9.09%        1.44% 3 

Emerging Asia Fund (MEASX)

    8.10%        n.a.        n.a.        7.51%        4/30/13        1.75%        1.50% 3 

Asia Innovators Fund (MATFX)

    -8.52%        6.80%        7.61%        2.30%        12/27/99        1.18%        n.a.   

China Fund (MCHFX)

    -23.89%        -3.53%        7.49%        8.34%        2/19/98        1.14%        n.a.   

India Fund (MINDX)

    -3.54%        6.76%        11.21%        11.85%        10/31/05        1.11%        n.a.   

Japan Fund (MJFOX)

    5.00%        10.65%        3.03%        6.07%        12/31/98        0.99%        n.a.   

Korea Fund (MAKOX)

    -0.83%        6.09%        6.41%        6.13%        1/3/95        1.10%        n.a.   

ASIA SMALL COMPANY STRATEGIES

             

Asia Small Companies Fund (MSMLX)

    -15.10%        0.73%        n.a.        11.36%        9/15/08        1.48%        1.47% 3 

China Small Companies Fund (MCSMX)

    -15.96%        -0.21%        n.a.        -1.00%        5/31/11        2.10%        1.50% 4 

 

* These figures are from the fund’s prospectus dated as of April 29, 2016, and may differ from the actual expense ratios for fiscal year 2016, as shown in the financial highlights section of this report.

 

1 Matthews has contractually agreed (i) to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 0.90% first by waiving class specific expenses (i.e., shareholder service fees specific to a particular class) of the Institutional Class and then, to the extent necessary, by waiving non-class specific expenses of the Institutional Class, and (ii) if any Fund-wide expenses (i.e., expenses that apply to both the Institutional Class and the Investor Class) are waived for the Institutional Class to maintain the 0.90% expense limitation, to waive an equal amount (in annual percentage terms) of those same expenses for the Investor Class. The Total Annual Fund Operating Expenses After Fee Waiver and Expense Reimbursement for the Investor Class may vary from year to year and will in some years exceed 0.90%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of the (i) expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 for the Asia Strategic Income Fund and until April 30, 2018 for the Asia Credit Opportunities Fund and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.

 

2 Matthews has contractually agreed to waive a portion of its advisory fee and administrative and shareholder services fee if the Fund’s average daily net assets are over $3 billion, as follows: for every $2.5 billion average daily net assets of the Fund that are over $3 billion, the advisory fee rate and the administrative and shareholder services fee rate for the Fund with respect to such excess average daily net assets will be each reduced by 0.01%, in each case without reducing such fee rate below 0.00%. Any amount waived by Matthews pursuant to this agreement may not be recouped by Matthews. This agreement will remain in place until April 30, 2017 and may be terminated at any time (i) by the Trust on behalf of the Fund or by the Board of Trustees upon 60 days’ prior written notice to Matthews; or (ii) by Matthews upon 60 days’ prior written notice to the Trust, in each case without payment of any penalty.

 

3 Matthews has contractually agreed (i) to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 1.25% first by waiving class specific expenses (i.e., shareholder service fees specific to a particular class) of the Institutional Class and then, to the extent necessary, by waiving non-class specific expenses of the Institutional Class, and (ii) if any Fund-wide expenses (i.e., expenses that apply to both the Institutional Class and the Investor Class) are waived for the Institutional Class to maintain the 1.25% expense limitation, to waive an equal amount (in annual percentage terms) of those same expenses for the Investor Class. The Total Annual Fund Operating Expenses After Fee Waiver and Expense Reimbursement for the Investor Class may vary from year to year and will in some years exceed 1.25%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 for the Asia Focus Fund, Emerging Asia Fund, Asia Small Companies Fund and Asia ESG Fund, and until April 30, 2018 for the Asia Value Fund and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.

 

4 Matthews has contractually agreed to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) to 1.50%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.

 

2    MATTHEWS ASIA FUNDS


Table of Contents

Institutional Class Performance and Expenses (June 30, 2016)

 

Institutional Class         Average Annual Total Return     Inception
Date
   

Prospectus

Expense
Ratios*

   

Prospectus
Expense Ratios
after Fee Waiver

and Expense
Reimbursement*

 
  1 year     5 years     10 years     Since
Inception
       

ASIA FIXED INCOME STRATEGIES

             

Asia Strategic Income Fund (MINCX)

    5.07%        n.a.        n.a.        4.51%        11/30/11        1.09%        0.90% 1 

Asia Credit Opportunities Fund (MICPX)

    n.a.        n.a.        n.a.        1.41%        4/29/16        1.94%        0.90% 1 

ASIA GROWTH AND INCOME STRATEGIES

             

Asian Growth and Income Fund (MICSX)

    -1.06%        3.66%        n.a.        3.98%        10/29/10        0.92%        n.a.   

Asia Dividend Fund (MIPIX)

    -1.66%        5.96%        n.a.        6.00%        10/29/10        0.93%        0.92% 3 

China Dividend Fund (MICDX)

    -11.33%        6.19%        n.a.        6.48%        10/29/10        1.00%        n.a.   

ASIA VALUE STRATEGY

             

Asia Value Fund (MAVAX)

    n.a.        n.a.        n.a.        2.02%        11/30/15        36.17%        1.25% 2 

ASIA GROWTH STRATEGIES

             

Asia Focus Fund (MIFSX)

    -5.03%        n.a.        n.a.        -1.23%        4/30/13        1.91%        1.25% 2 

Asia Growth Fund (MIAPX)

    -0.63%        5.21%        n.a.        5.24%        10/29/10        0.91%        n.a.   

Pacific Tiger Fund (MIPTX)

    -4.85%        4.51%        n.a.        4.68%        10/29/10        0.91%        0.89% 3 

Asia ESG Fund (MISFX)

    -6.86%        n.a.        n.a.        -7.20%        4/30/15        8.90%        1.25% 2 

Emerging Asia Fund (MIASX)

    8.32%        n.a.        n.a.        7.75%        4/30/13        1.57%        1.25% 2 

Asia Innovators Fund (MITEX)

    -8.37%        n.a.        n.a.        10.33%        4/30/13        0.97%        n.a.   

China Fund (MICFX)

    -23.83%        -3.37%        n.a.        -3.28%        10/29/10        0.99%        n.a.   

India Fund (MIDNX)

    -3.32%        6.95%        n.a.        4.85%        10/29/10        0.90%        n.a.   

Japan Fund (MIJFX)

    5.10%        10.79%        n.a.        11.72%        10/29/10        0.87%        n.a.   

Korea Fund (MIKOX)

    -0.65%        6.24%        n.a.        8.58%        10/29/10        0.93%        n.a.   

ASIA SMALL COMPANY STRATEGY

             

Asia Small Companies Fund (MISMX)

    -14.89%        n.a.        n.a.        0.28%        4/30/13        1.30%        1.25% 2 

 

* These figures are from the fund’s prospectus dated as of April 29, 2016, and may differ from the actual expense ratios for fiscal year 2016, as shown in the financial highlights section of this report.

 

1 Matthews has contractually agreed to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 0.90%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 for the Asia Strategic Income Fund and until April 30, 2018 for the Asia Credit Opportunities Fund and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.

 

2 Matthews has contractually agreed to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 1.25%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 for the Asia Focus Fund, Emerging Asia Fund, Asia Small Companies Fund and Asia ESG Fund, and until April 30, 2018 for the Asia Value Fund and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.

 

3 Matthews has contractually agreed to waive a portion of its advisory fee and administrative and shareholder services fee if the Fund’s average daily net assets are over $3 billion, as follows: for every $2.5 billion average daily net assets of the Fund that are over $3 billion, the advisory fee rate and the administrative and shareholder services fee rate for the Fund with respect to such excess average daily net assets will be each reduced by 0.01%, in each case without reducing such fee rate below 0.00%. Any amount waived by Matthews pursuant to this agreement may not be recouped by Matthews. This agreement will remain in place until April 30, 2017 and may be terminated at any time (i) by the Trust on behalf of the Fund or by the Board of Trustees upon 60 days’ prior written notice to Matthews; or (ii) by Matthews upon 60 days’ prior written notice to the Trust, in each case without payment of any penalty.

Past Performance: All performance quoted in this report is past performance and is no guarantee of future results. Investment return and principal value will fluctuate with changing market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the returns quoted. If certain of the Funds’ fees and expenses had not been waived, returns would have been lower. For the Funds’ most recent month-end performance, please call 800.789.ASIA (2742) or visit matthewsasia.com.

 

matthewsasia.com  |  800.789.ASIA      3   


Table of Contents

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Message to Shareholders from the Investment Advisor

Dear Valued Investors,

As an Englishman, it’s hard for me not to get sucked into the whole Brexit chaos. Let me say two things about it—first, the initial reaction was quite extreme; second, there has been a temptation for people to look again at Asia in light of the concerns around Europe. I’d like to pause for a breath a bit and examine whether Brexit really is a reason to reallocate to Asia.

The initial reaction to the Brexit vote was one of real concern—lower GDP in Britain over the long term, a hit to investment in the short term, and worries that political turmoil in Europe might hold back spending there too. Well, some of this was perhaps overdone. The sterling’s fall on the Brexit news has probably provided something of a boost to the U.K. economy. The likelihood that the U.S. Federal Reserve will now be much slower to raise rates, too, has also calmed stock markets and allowed them to bounce back. So, the initial shock seems to have been excessive and everything is back on an even keel, economically speaking. Or so it might seem.

Politics is a different matter. Who would be leader of the U.K.’s governing Conservative Party now? Dumb question. There is always someone ambitious enough to step up. But they would probably face a short premiership before having to call a general election; the possibility of having to implement a tight budget; and the difficulty of getting votes through Parliament to actually execute the separation from Europe—most members of Parliament are probably in favor of remaining. All this is complicated by the fact that it seems very difficult to me to meet the desires of the British electorate as expressed in the last two referenda—most recently Brexit, and what seems just a moment ago, the referendum on whether Scotland should remain part of the United Kingdom. For, if one thing seems sure in this mess, it is that if the U.K. does leave Europe, Scotland will want to remain a part of the E.U. and that means splitting from the U.K. So, a Great British “muddle-through” is called for. All of which will take a lot of negotiating as they muddle. In the meantime, populist and separatist movements in France, Spain and Greece may gain traction. Other nations, probably the Netherlands and France, might want to join in any separation Britain wins from European immigration policy (a key cause of the leave campaign). So, the political mess will likely churn on in Europe for some time. This could depress investment. It might depress stock market sentiment, so it is not to be ignored.

But is that, in and of itself, a reason to turn to Asia? I would say not. Asia has to build its own case for investment, outside of what is happening in Europe. It’s not good enough just to be a less bad choice. There are reasons to be cautious about Asia, to be sure. Credit cycles seem to be worsening everywhere—from China, to Thailand, to India, and everywhere in between. This leaves us somewhat concerned about the ability of the financial systems to support near-term growth and for those companies reliant on borrowing to continue to grow. Consequently, our portfolios are relatively light on banking stocks and we have a natural bias toward self-funding companies with secular, if not always spectacular, growth trajectories. These qualities do not come cheaply in today’s markets. But nor is Asia expensive relative to the rest of the world. There does appear to be a valuation argument in favor of Asia—the U.S. trades at 17x forward Earnings Per Share*; Europe at 14.0x; and Asia at 13.5x. It is true that such valuation differences disappear if we look at a sector like consumer staples where Europe, the U.S. and Asia seem to be trading at similar levels. But here, the chance of Asia producing better future growth relative to these two areas seems reasonably strong.

 

 

4    MATTHEWS ASIA FUNDS


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After all, productivity levels are still low, but still growing. Governments have a keen eye on increasing both the efficiency of financial systems (China and Vietnam being cases in point); as well as legal systems (again China and India); corporate governance systems (Japan and Korea); and overhauling government investment in infrastructure, such as in Indonesia. Everywhere one looks, governments are at least trying to do the right things. And the record pace and levels of Asian countries—in terms of savings, manufacturing exposure, openness to trade, productivity growth, and increasing political stability—continue to be prominent in a world where the political trends in other regions seem to be challenging this openness. Even as immigration and trade treaties become political controversies in the U.S. and Europe, China is looking to deal with its demographic issues by opening up vast new trade routes and stepping up its foreign direct investment into the rest of the Asia region. These are multi-year, even multi-decade plans that show a long-term commitment to embrace the forces of growth. And despite many Doomsday headlines about China’s growth and its currency, it still achieves rates of growth that are the envy of much of the world and an increasing share of global exports. Asia is not perfect by any means, but it seems to me to still be on the right track.

But no, Brexit itself is not a reason to turn your attention to Asia. There is a danger in trying to respond to short-term political events. Rather, we try to take a long-term view of the region. This remains a view centered on the growth in productivity of Asia’s workforce, the emergence of domestic corporate champions, and the improving institutions of investment—markets, legal infrastructure and corporate governance. Our portfolios at the moment express some skepticism about the credit cycle, but we can still find good value in companies that are seeking to protect themselves from industry competition, allocating capital efficiently, and sometimes even paying out dividends that, despite their superior growth, are at higher yields than you find on average in the U.S. and that are comparable to Europe.

Since 2008, the world has become dominated by breathless hyperbole and shock headlines. Better, I think, to put them to the side of your mind and focus on the fundamentals of growing businesses and macroeconomic reform. In these areas, despite all its problems, Asia is doing quite well. And that is reason enough to consider it as an investment opportunity—but no, not just because my fellow Brits threw a hissy fit.

 

LOGO

Robert Horrocks, PhD

Chief Investment Officer

Matthews International Capital Management, LLC

 

* Forward earnings are calculated by dividing market price per share by expected earnings per share.

 

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Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Teresa Kong, CFA   

Lead Manager

  
Gerald M. Hwang, CFA   

Satya Patel

Co-Manager

   Co-Manager
FUND FACTS
    Investor   Institutional

Ticker

  MAINX   MINCX

CUSIP

  577125503   577125602

Inception

  11/30/11   11/30/11

NAV

  $10.37   $10.36

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.28%   1.09%

After Fee Waiver and Reimbursement2

  1.12%   0.90%

Portfolio Statistics

   

Total # of Positions

  39

Net Assets

  $63.3 million

Modified Duration3

  4.4

Portfolio Turnover4

  50.09%

Benchmark

 

Markit iBoxx Asian Local Bond Index*

OBJECTIVE

 

 

Total return over the long term with an emphasis on income.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in income-producing securities including, but not limited to, dividend paying equity securities, and debt and debt-related instruments issued by governments, quasi-governmental entities, supra-national institutions, and companies in Asia. Asia consists of all countries and markets in Asia, such as China and India, and includes developed, emerging, and frontier countries and markets in the Asian region. Investments may be denominated in any currency, and may represent any part of a company’s capital structure from debt to equity or with features of both.

Matthews Asia Strategic Income Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Asia Strategic Income Fund returned 5.83% (Investor Class) and 5.86% (Institutional Class), while its benchmark, the Markit iBoxx Asian Local Bond Index*, returned 7.29%. For the quarter ending June 30, the Fund returned 2.47% (Investor Class) and 2.53% (Institutional Class) while its benchmark returned 0.88%.

Market Environment:

The second quarter of 2016 was dominated by two overarching forces for Asian Fixed Income: Federal Reserve rate hike probabilities and Brexit. For the majority of the second quarter, uncertainty about the timing of U.S. rate hikes by the Federal Reserve dominated market sentiment. Fed officials repeatedly suggested a rate hike was probable if economic data did not disappoint, yet Fed Chair Janet Yellen continued to delay rate hikes, citing external risks. This caused currency and rates markets in Asia to flip flop due to the continued repricing in the path for rate hikes expected from the Federal Reserve. While currencies and rates were somewhat volatile for most of the second quarter, significantly higher volatility affected the region following the surprise Brexit vote. Asia credit, however, was relatively insulated from Brexit effects as the trade exposure to the U.K. among Asian companies is limited. Despite the severe sell-off in almost all markets post-Brexit, Asia currencies, rates and credit markets quickly recovered in the following week. As of the end of the second quarter, Asia markets had largely returned to pre-Brexit levels.

Performance Contributors and Detractors:

The biggest contributors to Fund performance for the second quarter were our holdings in U.S. dollar-denominated bonds. Within U.S. dollar-denominated debt, bonds from Indonesian companies and our holdings of contingent convertible bonds of banks performed particularly well. As macroeconomic concerns around Indonesia’s growth, inflation and currency stability subsided, risk aversion faded, resulting in strong performance of our bonds. Our contingent convertibles performed well despite some volatility around Brexit.

The biggest detractors to Fund performance in the second quarter were our currency forward positions in the Indonesian rupiah, Malaysian ringgit and South Korean won. The U.S. dollar remained volatile but overall strengthened from the previous quarter.

Notable Portfolio Changes:

Given markets were pricing in a much lower probability of a Brexit vote than polls suggested, we pared back our exposure to higher beta currencies with limited appreciation potential. Notably, we increased our weight to the U.S. dollar and the Malaysian ringgit while reducing our exposure to the Chinese renminbi, the South Korean won, and the Singaporean dollar. We increased exposure to U.S. interest rates on the expectation that long-dated U.S. rates were well-anchored despite the potential for shorter rates to rise. We did not increase interest rate exposure to most Asian local markets as we believed that potential currency depreciation would likely more than offset any fall in interest rates. As spreads tightened, we

(continued)

 

 

 

* The Index performance reflects the returns of the discontinued predecessor HSBC Asian Local Bond Index up to December 31, 2012 and the returns of the successor Markit iBoxx Asian Local Bond Index thereafter.
1 Prospectus expense ratios.
2 Matthews has contractually agreed (i) to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 0.90% first by waiving class specific expenses (i.e., shareholder service fees specific to a particular class) of the Institutional Class and then, to the extent necessary, by waiving non-class specific expenses of the Institutional Class, and (ii) if any Fund-wide expenses (i.e., expenses that apply to both the Institutional Class and the Investor Class) are waived for the Institutional Class to maintain the 0.90% expense limitation, to waive an equal amount (in annual percentage terms) of those same expenses for the Investor Class. The Total Annual Fund Operating Expenses After Fee Waiver and Expense Reimbursement for the Investor Class may vary from year to year and will in some years exceed 0.90%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.
3 Modified duration measures the percent change in value of the fixed income portion of the portfolio in response to a 1% change in interest rates. In a multi-currency denominated portfolio with sensitivities to different interest rate regimes, modified duration will not accurately reflect the change in value of the overall portfolio from a change in any one interest rate regime.
4 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

6    MATTHEWS ASIA FUNDS


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PERFORMANCE AS OF JUNE 30, 2016                                          
 

 

    

 

      

 

      

 

     Average Annual
Total Returns
      

 

 
     3 Months      YTD      1 Year      3 Years      Since
Inception
     Inception
Date
 
Investor Class (MAINX)      2.47%         5.83%         4.82%         3.59%         4.31%         11/30/11   
Institutional Class (MINCX)      2.53%         5.86%         5.07%         3.81%         4.51%         11/30/11   
Markit iBoxx Asian Local Bond Index5      0.88%         7.29%         4.55%         2.01%         2.44%      
Lipper Emerging Markets Hard Currency Debt Funds Category Average6      4.68%         9.43%         4.98%         2.61%         4.19%      

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance visit matthewsasia.com.

 

             
INCOME DISTRIBUTION HISTORY                                          
    2016           2015  
  Q1      Q2      Q3      Q4      Total           Q1      Q2      Q3      Q4      Total  
Investor (MAINX)   $ 0.06       $ 0.11         n.a.         n.a.         n.a.        $ 0.00       $ 0.10       $ 0.08       $ 0.11       $ 0.29   
Inst’l (MINCX)   $ 0.06       $ 0.12         n.a.         n.a.         n.a.        $ 0.01       $ 0.10       $ 0.09       $ 0.11       $ 0.31   

Note: This table does not include capital gains distributions. Totals may differ by $0.02 due to rounding. For income distribution history, visit matthewsasia.com.

 

30-DAY YIELD:

Investor Class: 4.82% (4.72% excluding expense waiver)

Inst’l Class: 5.08% (4.94% excluding expense waiver)

 

The 30-Day Yield represents net investment income earned by the Fund over the 30-day period ended 6/30/16, expressed as an annual percentage rate based on the Fund’s share price at the end of the 30-day period. The 30-Day Yield should be regarded as an estimate of the Fund’s rate of investment income, and it may not equal the Fund’s actual income distribution rate.

 

Source: BNY Mellon Investment Servicing (US) Inc.

   

YIELD TO WORST: 6.38%

 

Yield to worst is the lowest yield that can be received on a bond assuming that the issuer does not default. It is calculated by utilizing the worst case assumptions for a bond with respect to certain income-reducing factors, including prepayment, call or sinking fund provisions. It does not represent the yield that an investor should expect to receive. Past yields are no guarantee of future yields.

 

Source: FactSet Research Systems

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

 

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  5 It is not possible to invest directly in an index. Source: Index data from HSBC, Markit iBoxx and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definitions. The Index performance reflects the returns of the discontinued predecessor HSBC Asian Local Bond Index up to December 31, 2012 and the returns of the successor Markit iBoxx Asian Local Bond Index thereafter.

 

  6 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS                     
     Sector      Currency      % of Net Assets  
Indonesia Treasury Bond, 8.375%, 03/15/2034    Foreign Government Bonds      Indonesian Rupiah        5.3%   
Ctrip.com International, Ltd., Cnv., 1.000%, 07/01/2020    Consumer Discretionary      U.S. Dollar        5.0%   
DFCC Bank PLC, 9.625%, 10/31/2018    Financials      U.S. Dollar        4.4%   
Standard Chartered PLC, 6.500%, 12/29/2049    Financials      U.S. Dollar        4.2%   
PT Perusahaan Listrik Negara, 5.250%, 10/24/2042    Utilities      U.S. Dollar        3.8%   
HSBC Holdings PLC, 6.375%, 12/29/2049    Financials      U.S. Dollar        3.8%   
Sri Lanka Government Bond, 6.125%, 06/03/2025    Foreign Government Bonds      U.S. Dollar        3.5%   
Shimao Property Holdings, Ltd., 6.625%, 01/14/2020    Financials      U.S. Dollar        3.3%   
TML Holdings Pte, Ltd., 5.750%, 05/07/2021    Consumer Discretionary      U.S. Dollar        3.3%   
China Hongqiao Group, Ltd., 6.875%, 05/03/2018    Materials      U.S. Dollar        3.2%   
% OF ASSETS IN TOP TEN                39.8%   

 

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Table of Contents
 
CURRENCY ALLOCATION (%)7,8  
U.S. Dollar (USD)     71.5   
Indian Rupee (INR)     9.8   
Indonesian Rupiah (IDR)     8.3   
Hong Kong Dollar (HKD)     3.0   
Sri Lankan Rupee (LKR)     2.7   
South Korean Won (KRW)     2.0   
Cash and Other Assets, Less Liabilities     2.6   

 

 
COUNTRY ALLOCATION (%)7,8,9,10  
China/Hong Kong     36.5   
Indonesia     25.5   
Sri Lanka     14.5   
India     13.5   
Pakistan     2.5   
South Korea     2.0   
Vietnam     1.7   
Supranational     1.2   
Cash and Other Assets, Less Liabilities     2.6   

 

 
SECTOR ALLOCATION (%)7,8  
Financials     39.6   
Foreign Government Bonds     24.2   
Consumer Discretionary     15.5   
Utilities     5.1   
Information Technology     4.3   
Materials     3.2   
Consumer Staples     3.0   
Telecommunication Services     2.6   
Cash and Other Assets, Less Liabilities     2.6   

Please note: Foreign Government Bonds category includes Supranationals.

 

 
ASSET TYPE BREAKDOWN (%)7,8  
Non-Convertible Corporate Bonds     56.2   
Government Bonds     24.2   
Convertible Corporate Bonds     17.0   
Cash and Other Assets, Less Liabilities     2.6   

 

7 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

 

8 Cash and other assets may include forward currency exchange contracts and certain derivative instruments that have been marked-to-market.

 

9 Not all countries where the Fund may invest are included in the benchmark index.

 

10 Supranational is an international organization in which member states transcend national boundaries (ex. IMF).

Matthews Asia Strategic Income Fund

Portfolio Manager Commentary  (unaudited) (continued)

replaced several credits, which have reached our spread targets, with new companies that offered relatively higher spreads. The exposure to relatively higher credit spreads despite falling interest rates resulted in relatively constant yields through the quarter.

We rebuilt a position in Sri Lankan rupee-denominated bonds after both the currency and rates sold off over the last several quarters. At current levels, we see returns skewed positively as fiscal and monetary policies will likely abide by International Monetary Fund (IMF)-prescribed guidelines. We believe the US$1.5 billion Extended Fund Facility from the IMF will help stabilize the macro economy in Sri Lanka, as well as help the country implement economic reforms. In addition to Sri Lanka, we also initiated a small position in Pakistan. Pakistan’s economy has seen steady improvement over the last several years with the help of the IMF. The fiscal deficit has declined and the government is working on improving infrastructure with the help of Chinese direct investment. Lastly, we have increased our exposure to long-dated Indonesian rates as we believe the central bank will cut interest rates further to support the economy. We funded these purchases by selling low-yielding bonds from companies in the Philippines, Indonesia, China, and Malaysia.

Outlook:

Brexit has injected uncertainty in the markets. Unlike risks that are identifiable and quantifiable, uncertainties are unknown and not measurable. In the absence of known near-term catalysts, markets will be very volatile. The silver lining is that Brexit is not likely to pose systematic risk, but instead more idiosyncratic risks to countries and sectors most exposed to the U.K. and Europe. As such, we believe Asia fixed income provides a relative safe haven to most other developed and emerging markets.

On interest rates, we believe chances of rate hikes in the U.S. have diminished following Brexit. We believe Asian countries will continue to have lower to stable rates as most countries have seen moderating inflation with slow growth, providing room for policymakers to continue easing. We believe Indonesia and India both have room for more interest rate cuts, which should support their local currency bond prices.

On currencies, we expect substantial uncertainties concerning the Brexit situation will continue to drive volatility in currencies in the coming quarters. Despite Asia’s relatively small trade exposure to the U.K., we believe concerns over the viability of the E.U. and general uncertainties regarding the framework under which Brexit will happen will continue to weigh on risk sentiment. Asian currencies will remain volatile, and we expect greater dispersion amongst returns. Higher yielding, high volatility currencies that have experienced the greatest depreciation in the last few years, like the Indonesian rupiah and the Malaysian ringgit, will continue to have the greatest likelihood of appreciating in 2016.

The easing bias of central banks will mitigate risks of rising defaults. Prudent carry strategies, such as Asia high yield, continue to be attractive. Entering at current levels has historically resulted in gains as long as investors have an investment horizon greater than two years.

Fixed income investments are subject to additional risks, including, but not limited to, interest rate, credit and inflation risks. Investing in emerging markets involves different and greater risks, as these countries are substantially smaller, less liquid and more volatile than securities markets in more developed markets.

 

 

8    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Strategic Income Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

NON-CONVERTIBLE CORPORATE BONDS: 56.2%

 

     Face Amount*     Value  
CHINA/HONG KONG: 22.1%   

Standard Chartered PLC
6.500%b, 12/29/49

    2,900,000        $2,660,750   

HSBC Holdings PLC
6.375%b, 12/29/49

    2,500,000        2,381,250   

Shimao Property Holdings, Ltd.
6.625%, 01/14/20

    2,000,000        2,100,704   

China Hongqiao Group, Ltd.
6.875%, 05/03/18

    2,000,000        2,032,396   

MCE Finance, Ltd.
5.000%, 02/15/21

    2,000,000        1,979,050   

Yum! Brands, Inc.
5.350%, 11/01/43

    2,000,000        1,610,000   

Unigroup International Holdings, Ltd.
6.000%, 12/10/20

    1,200,000        1,253,432   
   

 

 

 

Total China/Hong Kong

      14,017,582   
   

 

 

 
   
INDIA: 13.5%           

TML Holdings Pte, Ltd.
5.750%, 05/07/21

    2,000,000        2,063,962   

Housing Development Finance Corp., Ltd.

  

 

9.240%, 06/24/24

    INR 100,000,000        1,550,900   

Housing Development Finance Corp., Ltd.

  

 

8.950%, 03/21/23

    INR 100,000,000        1,515,653   

Axis Bank, Ltd.
7.250%b, 08/12/21

    1,000,000        1,001,790   

Rural Electrification Corp., Ltd.
9.340%, 08/25/24

    INR 52,000,000        823,763   

Power Grid Corp. of India, Ltd., Series B

  

 

9.300%, 09/04/24

    INR 52,000,000        821,914   

Rural Electrification Corp., Ltd.
9.020%, 06/18/19

    INR 50,000,000        762,533   
   

 

 

 

Total India

      8,540,515   
   

 

 

 
   
INDONESIA: 12.3%           

PT Perusahaan Listrik Negara
5.250%, 10/24/42

    2,500,000        2,399,025   

Theta Capital Pte, Ltd.
7.000%, 05/16/19

    1,500,000        1,555,831   

Alam Synergy Pte, Ltd.
6.950%, 03/27/20c

    1,500,000        1,466,250   

Jababeka International BV
7.500%, 09/24/19

    1,400,000        1,466,046   

Alam Synergy Pte, Ltd.
6.950%, 03/27/20

    500,000        488,750   

PT Astra Sedaya Finance
8.600%, 02/21/17

    IDR 5,000,000,000        380,738   
   

 

 

 

Total Indonesia

      7,756,640   
   

 

 

 
   
SRI LANKA: 8.3%           

DFCC Bank PLC
9.625%, 10/31/18

    2,650,000        2,781,096   

National Savings Bank
5.150%, 09/10/19

    2,000,000        1,946,160   
     Face Amount*     Value  

National Savings Bank
8.875%, 09/18/18

    500,000        $532,790   
   

 

 

 

Total Sri Lanka

      5,260,046   
   

 

 

 
   
TOTAL NON-CONVERTIBLE CORPORATE BONDS        35,574,783   
   

 

 

 

(Cost $36,540,762)

   
   

FOREIGN GOVERNMENT OBLIGATIONS: 24.2%

  

 
INDONESIA: 10.6%                

Indonesia Treasury Bond
8.375%, 03/15/34

    IDR 42,000,000,000        3,369,536   

Indonesia Government Bond
5.950%, 01/08/46

    1,500,000        1,767,498   

Indonesia Treasury Bond
7.875%, 04/15/19

    IDR 20,000,000,000        1,535,667   
   

 

 

 

Total Indonesia

      6,672,701   
   

 

 

 
   
SRI LANKA: 6.2%           

Sri Lanka Government Bond
6.125%, 06/03/25

    2,400,000        2,241,941   

Sri Lanka Government Bond
8.500%, 07/15/18

    LKR 257,000,000        1,682,252   
   

 

 

 

Total Sri Lanka

      3,924,193   
   

 

 

 
   
PAKISTAN: 2.5%           

Pakistan Government Bond
8.250%, 04/15/24

    1,500,000        1,577,603   
   

 

 

 

Total Pakistan

      1,577,603   
   

 

 

 
   
SOUTH KOREA: 2.0%           

Korea Treasury Bond
3.500%, 09/10/16

    KRW 1,000,000,000        871,890   

Korea Treasury Bond
3.500%, 03/10/24

    KRW 400,000,000        399,435   
   

 

 

 

Total South Korea

      1,271,325   
   

 

 

 
   
VIETNAM: 1.7%           

Socialist Republic of Vietnam
4.800%, 11/19/24

    1,055,000        1,085,607   
   

 

 

 

Total Vietnam

      1,085,607   
   

 

 

 
   
SUPRANATIONAL: 1.2%           

International Finance Corp.
7.750%, 12/03/16

    INR 50,000,000        743,444   
   

 

 

 

Total Supranational

      743,444   
   

 

 

 
   
TOTAL FOREIGN GOVERNMENT OBLIGATIONS        15,274,873   
   

 

 

 

(Cost $15,032,252)

   
   
 

 

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Table of Contents

Matthews Asia Strategic Income Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

CONVERTIBLE CORPORATE BONDS: 17.0%

 

     Face Amount*     Value  
CHINA/HONG KONG: 14.4%     

Ctrip.com International, Ltd., Cnv.
1.000%, 07/01/20

    3,000,000        $3,157,500   

E-House China Holdings, Ltd., Cnv.
2.750%, 12/15/18c

    2,010,000        1,984,875   

Biostime International Holdings, Ltd., Cnv.

  

 

0.000%, 02/20/19

    HKD 14,000,000        1,917,351   

Qihoo 360 Technology Co., Ltd., Cnv.
1.750%, 08/15/21

    1,500,000        1,459,688   

Vipshop Holdings Ltd., Cnv.
1.500%, 03/15/19

    600,000        589,500   
   

 

 

 

Total China/Hong Kong

      9,108,914   
   

 

 

 
   
     Face Amount*     Value  
INDONESIA: 2.6%     

Delta Investment Horizon International, Ltd., Cnv.

  

 

3.000%, 05/26/20

    1,800,000        $1,638,000   
   

 

 

 

Total Indonesia

      1,638,000   
   

 

 

 
   
TOTAL CONVERTIBLE CORPORATE BONDS        10,746,914   
   

 

 

 

(Cost $10,266,289)

   
   
TOTAL INVESTMENTS: 97.4%             61,596,570   

(Cost $61,839,303d)

   
   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 2.6%
      1,665,563   
   

 

 

 

NET ASSETS: 100.0%

      $63,262,133   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Variable rate security. The rate represents the rate in effect at June 30, 2016.

 

c Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended. The security may be resold in transactions exempt from registration normally to qualified institutional buyers. The security has been determined to be liquid in accordance with procedures adopted by the Fund’s Board of Directors.

 

d Cost for federal income tax purposes is $61,839,303 and net unrealized depreciation consists of:

 

* All values are in USD unless otherwise noted.

 

Gross unrealized appreciation

    $1,512,041   

Gross unrealized depreciation

    (1,754,774
     

 

 

 

Net unrealized depreciation

    ($242,733
     

 

 

 

 

Cnv. Convertible

 

IDR Indonesian Rupiah

 

INR Indian Rupee

 

HKD Hong Kong Dollar

 

KRW Korean Won

 

LKR Sri Lankan Rupees

 

MYR Malaysian Ringgits

 

THB Thai Baht

 

USD U.S. Dollar
 

FORWARD FOREIGN CURRENCY EXCHANGE CONTRACTS:

 

     Currency
Purchased
   Currency Sold      Counterparty   Settlement
Date
     Unrealized
Appreciation
 

LONG

 

MYR 24,615,000

   USD 6,000,000      JP Morgan   09/21/16        $164,393   
 

THB 105,870,000

   USD 3,000,000      JP Morgan   09/21/16        8,735   
                

 

 

 
                   $173,128   
                

 

 

 

See accompanying notes to financial statements.

 

10    MATTHEWS ASIA FUNDS


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Teresa Kong, CFA   Satya Patel

Lead Manager

 

Lead Manager

FUND FACTS        
    Investor   Institutional

Ticker

  MCRDX   MICPX

CUSIP

  577130677   577130669

Inception

  4/29/16   4/29/16

NAV

  $10.09   $10.08

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  2.10%   1.94%

After Fee Waiver and Reimbursement2

  1.10%   0.90%

Portfolio Statistics

 

Total # of Positions

  25

Net Assets

  $12.8 million

Modified Duration

  4.03

Portfolio Turnover

  N/A4

Benchmark

   

J.P. Morgan Asia Credit Index

OBJECTIVE

 

 

Total return over the long term.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in debt and debt-related instruments issued by companies as well as governments, quasi-governmental entities, and supranational institutions in Asia. Debt and debt-related instruments typically include bonds, debentures, bills, securitized instruments (which are vehicles backed by pools of assets such as loans or other receivables), notes, certificates of deposit and other bank obligations, bank loans, senior secured bank debt, convertible debt securities, credit-linked notes, inflation linked instruments, repurchase agreements, payment-in-kind securities and derivative instruments with fixed income characteristics. Asia consists of all countries and markets in Asia, such as China and Indonesia, in addition to the developed, emerging, and frontier countries and markets in the Asian region.

Matthews Asia Credit Opportunities Fund

Portfolio Manager Commentary  (unaudited)

From inception to the quarter ending June 30, 2016, the Matthews Asia Credit Opportunities Fund returned 1.46% (Investor Class) and 1.41% (Institutional Class), while its benchmark, the J.P. Morgan Asia Credit Index (JACI) returned 2.10%.

At Matthews Asia, we aim to launch new strategies when we identify compelling investment opportunities in the region, and as such, our second dedicated fixed income investment strategy, the Matthews Asia Credit Opportunities Fund, was launched on April 29, 2016. The Fund is intended as a higher risk, higher return strategy than our Matthews Asia Strategic Income Fund, and offers investors the potential for attractive yield, exposure to the U.S. dollar, and diversification benefits from the lower correlation between Asian credit and developed Western fixed income markets. The Fund may be a complement to an emerging market fixed income or high yield strategy as a way to increase allocation to Asia.

Asia has two distinct bond markets—local currency-denominated and U.S. dollar-denominated bonds. The Matthews Asia Credit Opportunities Fund seeks total return over the long term and focuses more on investing in the sub-investment grade segment of the U.S. dollar-denominated bond market. This market is dominated by corporate borrowers, and allows investors to isolate the credit risk of issuers in Asia. The U.S. dollar-denominated bond market has grown in size to about US$623 billion and often offers the opportunity for attractive yields relative to its U.S. counterparts.

Because the strategy seeks to derive most of its returns from credit, exposure to currencies and interest rates of Asian countries will be minimized via holding majority of bonds denominated in U.S. dollar. Thus, the strategy may be appropriate for those investors seeking enhanced yield without foreign currency and interest rate exposure. We aim to add value through individual security selection based on the security’s credit worthiness, with an emphasis on companies with strong balance sheets, stable cash flows and business models that will thrive across various cycles.

Market Environment:

The second quarter of 2016 was a rollercoaster ride for Asian credit spreads, amid global, rather than Asia-specific, developments that drove spreads. Credit spreads gradually tightened from the beginning of quarter until the end of May, when risk aversion took over with Federal Reserve officials indicating that a rate hike was imminent in June. However, the Fed held rates steady, citing risks from overseas as well as continued low productivity gains in U.S., paving the way for a strong credit environment leading into the Brexit vote. Markets were pricing in a “remain” outcome for Britain, and the surprise result led to a sharp repricing of risk assets globally. Asian credit also sold off but then quickly recovered as the trade exposure to the U.K. for Asian corporate is relatively small. Overall, for the quarter, credit spreads ended slightly tighter than where they began.

Performance Contributors and Detractors:

The biggest contributors to Fund performance since inception were bonds issued by companies in Indonesia, Macau and Sri Lanka. Following a period of concern in

(continued)

 

 

1 Prospectus expense ratios.
2 Matthews has contractually agreed (i) to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 0.90% first by waiving class specific expenses (i.e., shareholder service fees specific to a particular class) of the Institutional Class and then, to the extent necessary, by waiving non-class specific expenses of the Institutional Class, and (ii) if any Fund-wide expenses (i.e., expenses that apply to both the Institutional Class and the Investor Class) are waived for the Institutional Class to maintain the 0.90% expense limitation, to waive an equal amount (in annual percentage terms) of those same expenses for the Investor Class. The Total Annual Fund Operating Expenses After Fee Waiver and Expense Reimbursement for the Investor Class may vary from year to year and will in some years exceed 0.90%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2018 and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.
3 Modified duration measures the percent change in value of the fixed income portion of the portfolio in response to a 1% change in interest rates. In a multi-currency denominated portfolio with sensitivities to different interest rate regimes, modified duration will not accurately reflect the change in value of the overall portfolio from a change in any one interest rate regime.
4 The Fund commenced operations on April 29, 2016.

 

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Table of Contents
     
PERFORMANCE AS OF JUNE 30, 2016              
     Actual Return,
Not Annualized
        
     Since Inception     

Inception

Date

 
Investor Class (MCRDX)      1.46%         4/29/2016   
Institutional Class (MICPX)      1.41%         4/29/2016   
J.P. Morgan Asia Credit Index5      2.10%      
Lipper Alternative Credit Focus Funds Category Average6      0.41%      

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

  5 It is not possible to invest directly in an index. Source: Index data from J.P. Morgan and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  6 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

     
INCOME DISTRIBUTION HISTORY             
    2016  
    Q2      Q3      Q4      Total  
Investor (MCRDX)   $ 0.06         n.a.         n.a         n.a   
Inst’l (MICPX)   $ 0.06         n.a.         n.a         n.a   

Note: This table does not include capital gains distributions. Totals may differ by $0.02 due to rounding. For income distribution history, visit matthewsasia.com.

 

30-DAY YIELD:

Investor Class: 4.04% (3.50% excluding waivers)

Institutional Class: 4.27% (3.74% excluding waivers)

 

The 30-Day Yield represents net investment income earned by the Fund over the 30-day period ended 6/30/16, expressed as an annual percentage rate based on the Fund’s share price at the end of the 30-day period. The 30-Day Yield should be regarded as an estimate of the Fund’s rate of investment income, and it may not equal the Fund’s actual income distribution rate.

 

Source: BNY Mellon Investment Servicing (US) Inc.

   

YIELD TO WORST: 5.79%

 

Yield to worst is the lowest yield that can be received on a bond assuming that the issuer does not default. It is calculated by utilizing the worst case assumptions for a bond with respect to certain income-reducing factors, including prepayment, call or sinking fund provisions. It does not represent the yield that an investor should expect to receive. Past yields are no guarantee of future yields.

 

Source: FactSet Research Systems

 

       
TOP TEN HOLDINGS                     
     Sector      Currency      % of Net Assets  
National Savings Bank, 8.875%, 09/18/2018    Financials      U.S. Dollar        5.0%   
Delta Investment Horizon International, Ltd., Cnv., 3.000%, 05/26/2020    Telecommunication Services      U.S. Dollar        5.0%   
Pakistan Government Bond, 8.250%, 04/15/2024    Foreign Government Bonds      U.S. Dollar        4.9%   
MPM Global Pte, Ltd., 6.750%, 09/19/2019    Consumer Discretionary      U.S. Dollar        4.8%   
China Hongqiao Group, Ltd., 6.875%, 05/03/2018    Materials      U.S. Dollar        4.8%   
HSBC Holdings PLC, 6.375%, 12/29/2049    Financials      U.S. Dollar        4.5%   
Standard Chartered PLC, 6.500%, 12/29/2049    Financials      U.S. Dollar        4.3%   
Biostime International Holdings, Ltd., Cnv., 0.000%, 02/20/2019    Consumer Staples      Hong Kong Dollar        4.3%   
Sri Lanka Government Bond, 6.125%, 06/03/2025    Foreign Government Bonds      U.S. Dollar        3.6%   
Shimao Property Holdings, Ltd., 8.125%, 01/22/2021    Financials      U.S. Dollar        3.4%   
% OF ASSETS IN TOP TEN                44.6%   

 

12    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Credit Opportunities Fund

Portfolio Manager Commentary  (unaudited) (continued)

Indonesia around slowing growth, high inflation, and currency volatility, risk aversion faded and the rupiah stabilized, resulting in strong performance of our Indonesian corporate bonds. Issuers in Macau also performed well as signs pointed to stabilization in the mass segment of its casinos. Sri Lankan corporates also recovered as the country is on track to secure a US$1.5 billion loan from the International Monetary Fund (IMF). We believe this Facility will help stabilize the macro economic situation in Sri Lanka and provide for a more supportive environment for companies operating in the country, as well as help the country push further for economic reforms.

The biggest detractor to Fund performance during the period was our holding in a Ctrip.com International convertible bond. Despite the recent weakness in Ctrip shares, we remain convinced that online travel will continue to experience higher-than-average growth in China, and we believe Ctrip, with its overwhelming majority market share, will be the main beneficiary of this secular trend.

Outlook:

Brexit has injected uncertainty in the markets. Unlike risks that are identifiable and quantifiable, uncertainties are unknown and not measurable. In the absence of known near- term catalysts, markets will be very volatile. The silver lining is that Brexit is not likely to pose systematic risk, but instead more idiosyncratic risks to countries and sectors most exposed to the U.K. and Europe. As such, we believe Asia fixed income provides a relative safe haven to most other developed and emerging markets.

The easing bias of central banks will help mitigate risks of rising defaults. Prudent carry strategies such as Asia high yield continue to be attractive. Entering at current levels has historically resulted in gains as long as investors have an investment horizon greater than two years.

Historically, credit cycles have lasted eight to nine years, and with just over seven years having passed since the Global Financial Crisis-driven peak in corporate defaults, we expect that, over the medium term, the credit cycle is likely to turn. With this in mind, fundamental credit analysis is key as we believe the market will continue to reward prudent capital structures that are consistent with a company’s industry and strategy, and punish poor ones, driving increased dispersion in the credit market. As such, we seek to limit exposure to issuers with near-term financing needs as tight liquidity conditions may shut some issuers completely out of the market. Based on history, we believe current spread levels compensate investors who have a minimum two-year holding period for the risk that the credit cycle turns.

No doubt we are in a period of heightened volatility, driven by uncertainty in the path of U.S. rate hikes, Europe’s large dispersion in growth prospects, the extraordinary easing policies of the Bank of Japan, and, last but not least, China’s slowing growth, which has negatively impacted commodities. Despite that, we believe much of the downside risks have been priced in, and think Asian bonds may offer better value than they have in the last few years. It takes a lot of intestinal fortitude to buy when most are selling. But at today’s prices, we believe there is more room for upside potential than downside for investors with a long-term investment horizon.

Fixed income investments are subject to additional risks, including, but not limited to, interest rate, credit and inflation risks. Investing in emerging markets involves different and greater risks, as these countries are substantially smaller, less liquid and more volatile than securities markets in more developed markets.

 
CURRENCY ALLOCATION (%)7,8  
U.S. Dollar (USD)     87.2   
Hong Kong Dollar (HKD)     4.3   
Cash and Other Assets, Less Liabilities     8.6   

 

 
COUNTRY ALLOCATION (%)7,8,9  
China/Hong Kong     42.6   
Indonesia     28.7   
Sri Lanka     8.7   
Pakistan     4.9   
Philippines     3.3   
Vietnam     3.2   
Cash and Other Assets, Less Liabilities     8.6   

 

 
SECTOR ALLOCATION (%)7,8  
Financials     30.0   
Consumer Discretionary     16.5   
Foreign Government Bonds     15.1   
Telecommunication Services     8.1   
Information Technology     6.3   
Materials     4.8   
Consumer Staples     4.3   
Industrials     3.3   
Utilities     3.0   
Cash and Other Assets, Less Liabilities     8.6   

 

 
ASSET TYPE BREAKDOWN (%)7,8  
Non-Convertible Corporate Bonds     58.5   
Convertible Corporate Bonds     17.8   
Government Bonds     15.1   
Cash and Other Assets, Less Liabilities     8.6   

 

7 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

 

8 Cash and other assets may include forward currency exchange contracts and certain derivative instruments that have been marked-to-market.

 

9 Not all countries where the Fund may invest are included in the benchmark index.
 

 

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Table of Contents

Matthews Asia Credit Opportunities Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

NON-CONVERTIBLE CORPORATE BONDS: 58.5%

 

    

Face Amount*

    Value  
CHINA/HONG KONG: 29.7%    

China Hongqiao Group, Ltd.
6.875%, 05/03/18

    600,000        $609,719   

HSBC Holdings PLCb
6.375%, 12/29/49

    600,000        571,500   

Standard Chartered PLCb
6.500%, 12/29/49

    600,000        550,500   

Shimao Property Holdings, Ltd.
8.125%, 01/22/21

    400,000        441,968   

KWG Property Holding, Ltd.
8.975%, 01/14/19

    400,000        426,377   

Unigroup International Holdings, Ltd.
6.000%, 12/10/20

    400,000        417,811   

MCE Finance, Ltd.
5.000%, 02/15/21

    400,000        395,810   

Wynn Macau, Ltd.
5.250%, 10/15/21

    400,000        389,120   
   

 

 

 

Total China/Hong Kong

      3,802,805   
   

 

 

 
   
INDONESIA: 20.5%                

MPM Global Pte, Ltd.
6.750%, 09/19/19

    600,000        620,242   

Jababeka International BV
7.500%, 09/24/19

    400,000        418,870   

Theta Capital Pte, Ltd.
7.000%, 05/16/19

    400,000        414,889   

TBG Global Pte, Ltd.
5.250%, 02/10/22

    400,000        406,273   

Alam Synergy Pte, Ltd.
6.950%, 03/27/20

    400,000        391,000   

PT Perusahaan Listrik Negara
5.250%, 10/24/42

    400,000        383,844   
   

 

 

 

Total Indonesia

      2,635,118   
   

 

 

 
   
SRI LANKA: 5.0%                

National Savings Bank
8.875%, 09/18/18

    600,000        639,348   
   

 

 

 

Total Sri Lanka

      639,348   
   

 

 

 
   
PHILIPPINES: 3.3%                

ICTSI Treasury BV
5.875%, 09/17/25

    400,000        427,000   
   

 

 

 

Total Philippines

      427,000   
   

 

 

 
   

TOTAL NON-CONVERTIBLE CORPORATE BONDS

  

    7,504,271   
   

 

 

 

(Cost $7,403,146)

   
   

CONVERTIBLE CORPORATE BONDS: 17.8%

  

CHINA/HONG KONG: 12.9%                

Biostime International Holdings, Ltd., Cnv.

  

 

0.000%, 02/20/19

    HKD 4,000,000        547,815   

Ctrip.com International, Ltd., Cnv.
1.000%, 07/01/20

    400,000        421,000   

SouFun Holdings, Ltd., Cnv.
2.000%, 12/15/18

    400,000        392,500   

Vipshop Holdings Ltd., Cnv.
1.500%, 03/15/19

    300,000        294,750   
   

 

 

 

Total China/Hong Kong

      1,656,065   
   

 

 

 
    

Face Amount*

    Value  
INDONESIA: 4.9%    

Delta Investment Horizon International, Ltd., Cnv.

  

 

3.000%, 05/26/20

    700,000        $637,000   
   

 

 

 

Total Indonesia

      637,000   
   

 

 

 
   

TOTAL CONVERTIBLE CORPORATE BONDS

  

    2,293,065   
   

 

 

 

(Cost $2,295,758)

   
   

FOREIGN GOVERNMENT OBLIGATIONS: 15.1%

  

 
PAKISTAN: 4.9%                

Pakistan Government Bond
8.250%, 04/15/24

    600,000        631,041   
   

 

 

 

Total Pakistan

      631,041   
   

 

 

 
   
SRI LANKA: 3.7%                

Sri Lanka Government Bond
6.125%, 06/03/25

    500,000        467,071   
   

 

 

 

Total Sri Lanka

      467,071   
   

 

 

 
   
INDONESIA: 3.3%                

Republic of Indonesia
5.125%, 01/15/45

    400,000        424,375   
   

 

 

 

Total Indonesia

      424,375   
   

 

 

 
   
VIETNAM: 3.2%                

Socialist Republic of Vietnam
4.800%, 11/19/24

    400,000        411,604   
   

 

 

 

Total Vietnam

      411,604   
   

 

 

 
   

TOTAL FOREIGN GOVERNMENT OBLIGATIONS

  

    1,934,091   
   

 

 

 

(Cost $1,917,752)

   
   
TOTAL INVESTMENTS: 91.4%             11,731,427   

(Cost $11,616,656c)

   
   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 8.6%
      1,096,959   
   

 

 

 

NET ASSETS: 100.0%

      $12,828,386   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Variable rate security. The rate represents the rate in effect at June 30, 2016.

 

c Cost for federal income tax purposes is $11,616,656 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $161,991   

Gross unrealized depreciation

    (47,220
 

 

 

 

Net unrealized appreciation

    $114,771   
 

 

 

 

 

* All values are in USD unless otherwise noted.

 

Cnv. Convertible

 

HKD Hong Kong Dollar

 

USD U.S. Dollar

See accompanying notes to financial statements.

 

 

14    MATTHEWS ASIA FUNDS


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Robert J. Horrocks, PhD  

Lead Manager

 
Kenneth Lowe, CFA  

Lead Manager

   
FUND FACTS
    Investor   Institutional

Ticker

  MACSX   MICSX

CUSIP

  577130206   577130842

Inception

  9/12/94   10/29/10

NAV

  $17.01   $16.99

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.09%   0.92%

Portfolio Statistics

   

Total # of Positions

  58

Net Assets

  $3.0 billion

Weighted Average Market Cap

  $33.5 billion

Portfolio Turnover2

  16.48%

Benchmark

 

MSCI AC Asia ex Japan Index

OBJECTIVE

 

 

Long-term capital appreciation. The Fund also seeks to provide some current income.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in dividend-paying common stock, preferred stock and other equity securities, and convertible securities as well as fixed-income securities, of any duration or quality, of companies located in Asia, which consists of all countries and markets in Asia, including developed, emerging and frontier countries and markets in the Asian region.

Matthews Asian Growth and Income Fund

Portfolio Manager Commentary (unaudited)

For the first half of 2016, the Matthews Asian Growth and Income Fund rose 7.05% (Investor Class) and 7.08% (Institutional Class), outperforming its benchmark, the MSCI All Country Asia ex Japan Index, which returned 2.32%. For the quarter ending June 30, the Fund returned 2.88% (Investor Class) and 2.91% (Institutional Class) while its benchmark returned 0.51%.

Market Environment:

Although markets ended the second quarter roughly flat in U.S. dollar terms, the preceding three months were filled with many undulations, whipsawing investors on an almost daily basis. The primary driver behind this was, once again, politics and policymakers, with Brexit, the much talked about U.K. vote to leave the European Union, dominating the headlines. The medium-term implications of such a move are unclear.

This issue certainly has important implications for global asset prices. At the very least, we have witnessed the probability of a hike in U.S. interest rates in December 2016 drop from over 80% earlier this year to about 8%. It also raises the specter of a change within the foundations of a European construct that is mired in deflationary problems with low productivity and paltry economic growth.

From an Asian investor’s standpoint, another tail risk event coming true does little to improve the appetite for risk assets. However, the initial plummet in equities following Brexit was eradicated swiftly. This is likely due to the lowering of U.S. rate expectations, and the increased policy leeway provided to Asian central banks to further ease against such a backdrop.

Performance Contributors and Detractors:

The largest contributors to returns came from our holdings within China and Hong Kong, benefited by our stock selection. Companies such as Guangdong Investment, the owner of the asset that supplies the majority of Hong Kong’s water supply as well as owning infrastructure and property assets in China and CLP Holdings, one of two key electricity suppliers in Hong Kong both performed well. An attractive combination of dividend yield and sustainable, visible growth through already set contracts with the Hong Kong government saw Guangdong Investment rising strongly through the quarter. CLP Holdings rose as the noise over the reset of their scheme of control—where the government determines the permitted return on net fixed assets—appears to be waning with expectations that the outcome will be better than initially feared.

South Korean consumer companies also delivered strong performance. The preferred share class of LG Household & Health was the Fund’s largest individual contributor during the second quarter as its discount to the common equity narrowed. Additionally, the cosmetics, personal care and beverage brand owner saw solid growth across all segments with good results from duty free store sales and its China business in cosmetics. Tobacco company KT&G also rose on domestic market share gains and improving export growth.

More negatively, we saw some sputtering performance from stocks in Malaysia and Thailand. A default by state-controlled investment vehicle 1MDB in Malaysia sparked general softness in that market, whilst telecom firm Advanced Info Service in Thailand was weak due to an aggressive bid made for additional wireless spectrum. We exited our positions in Advanced Info Service during the second quarter.

Some of our Hong Kong holdings were also weak, including CK Hutchison as the industrial conglomerate’s move to consolidate the wireless market in the U.K. has been defeated by European regulators on competition concerns. Children’s toy

(continued)

 
1 Prospectus expense ratios.
2 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

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Table of Contents
       
PERFORMANCE AS OF JUNE 30, 2016                       
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Years      5 Years      10 Years      Since
Inception
     Inception
Date
 
Investor Class (MACSX)      2.88%         7.05%         -1.18%         1.52%         3.51%         6.83%         9.54%         9/12/94   
Institutional Class (MICSX)      2.91%         7.08%         -1.06%         1.68%         3.66%         n.a.         3.98%         10/29/10   
MSCI AC Asia ex Japan Index3      0.51%         2.32%         -11.72%         2.36%         0.34%         5.92%         3.53% 4    
Lipper Pacific Region Funds Category Average5      2.45%         2.49%         -6.50%         2.71%         2.76%         3.65%         3.69% 4    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

               
INCOME DISTRIBUTION HISTORY                                                         
       2016           2015  
       June        December        Total           June        December        Total  
Investor (MACSX)      $ 0.15           n.a.           n.a.        $ 0.21         $ 0.21         $ 0.42   
Inst’l (MICSX)      $ 0.16           n.a.           n.a.        $ 0.23         $ 0.22         $ 0.45   

Note: This table does not include capital gains distributions. Totals may differ by $0.01 due to rounding. For income distribution history, visit matthewsasia.com.

 

30-DAY YIELD:

2.02% (Investor Class) 2.15% (Institutional Class)

 

The 30-Day Yield represents net investment income earned by the Fund over the 30-day period ended 6/30/16, expressed as an annual percentage rate based on the Fund’s share price at the end of the 30-day period. The 30-Day Yield should be regarded as an estimate of the Fund’s rate of investment income, and it may not equal the Fund’s actual income distribution rate.

 

Source: BNY Mellon Investment Servicing (US) Inc.

   

DIVIDEND YIELD: 3.39%

 

The dividend yield (trailing) for the portfolio is the weighted average sum of the dividends paid by each equity security held by the Fund over the 12 months ended 6/30/16 divided by the current price of each equity as of 6/30/16. The annualized dividend yield for the Fund is for the equity-only portion of the portfolio. Please note that this is based on gross equity portfolio holdings and does not reflect the actual yield an investor in the Fund would receive. Past yields are no guarantee of future yields.

 

Source: FactSet Research Systems, Bloomberg, MICM

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

 

 

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  3 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  4 Calculated from 8/31/94.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                     
     Sector      Country      % of Net Assets  
Taiwan Semiconductor Manufacturing Co., Ltd.    Information Technology      Taiwan        3.5%   
AIA Group, Ltd.    Financials      China/Hong Kong        3.5%   
Jardine Matheson Holdings, Ltd.    Industrials      China/Hong Kong        2.5%   
CapitaLand, Ltd., Cnv., 1.950%, 10/17/2023    Financials      Singapore        2.4%   
Genting Malaysia BHD    Consumer Discretionary      Malaysia        2.4%   
SKYCITY Entertainment Group, Ltd.    Consumer Discretionary      New Zealand        2.3%   
CLP Holdings, Ltd.    Utilities      China/Hong Kong        2.3%   
Singapore Telecommunications, Ltd.    Telecommunication Services      Singapore        2.2%   
China Mobile, Ltd.    Telecommunication Services      China/Hong Kong        2.2%   
Ascendas REIT    Financials      Singapore        2.2%   
% OF ASSETS IN TOP TEN                25.5%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

16    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asian Growth and Income Fund

Portfolio Manager Commentary (unaudited) (continued)

and electronic learning products manufacturer VTech suffered poor performance on concerns over its cut in dividend in order to help fund the purchase of competitor Leapfrog.

Notable Portfolio Changes:

We initiated one new Fund position during the quarter in a Japanese operator and owner of used car facilities, USS. The firm takes a fee from sellers to list their cars for sale, and subsequently takes a fee on the completion of sale. A simple business model, the company provides a vital cog in the industry to allow dealers to alter the status of their inventory. We believe the stock has an attractive combination of both income and growth. It has a dividend yield of approximately 2.9%, and some growth through a combination of exports, some consolidation and improvement in the efficiency of existing sites as well as cost reductions. Additionally, management has done a solid job on share buybacks over the years, utilizing a strong, net cash balance sheet when they believe that the stock is undervalued.

Outlook:

Following the unexpected and frankly unclear path laid forth by the UK’s vote to leave the European Union, yet more uncertainty has been added to global asset prices. This is unlikely to be an idiosyncratic risk, and one must be aware of the impending heavy political calendar that looms. Early 2017 will see French elections, whilst October 2016 witnesses a referendum in Italy on potential constitutional reform. Added to this, of course, is the U.S. presidential election. Worryingly, there does appear to be an anti-establishment, protectionist—and arguably anti-globalization—movement underway across many electorates. This provides a level of uncertainty that may reduce sentiment for both corporates and consumers when it comes to investment and spending patterns.

The near-term positive for Asia is that the current climate provides central banks with the leeway to further loosen monetary policy, and we should expect to see such movement in places such as ultra-low inflation Japan and debt-ridden China. Of course, it is not this but supply-side reform that is paramount in creating sustainable economic growth and, on this front, it is disappointing to see India’s Rajan be pressured out of leading the Reserve Bank of India for another term due to a difference in priorities. Further, it is somewhat frustrating to hear China’s President Xi talk of increasing the Communist Party’s influence within state-owned enterprises, which he would like to see become “stronger, bigger and better.”

With a noisy backdrop of political changes, thriving populism, high debt levels, low growth and an increasingly forgotten reform agenda, the Fund will keep striving to deliver a portfolio that mitigates this volatility with a keen eye on protecting and growing shareholder capital over the long term.

 
COUNTRY ALLOCATION (%)7,8  
China/Hong Kong     31.6   
Singapore     17.1   
South Korea     12.0   
Japan     8.0   
Malaysia     6.3   
Taiwan     5.3   
Australia     2.8   
Indonesia     2.7   
New Zealand     2.3   
United States     1.7   
Thailand     1.6   
Norway     1.5   
Vietnam     1.4   
Philippines     1.3   
Cash and Other Assets, Less Liabilities     4.4   

 

   
SECTOR ALLOCATION (%)8      
Consumer Discretionary     16.6   
Financials     16.5   
Industrials     16.2   
Telecommunication Services     15.3   
Consumer Staples     13.0   
Information Technology     8.3   
Utilities     6.7   
Health Care     3.0   
Cash and Other Assets, Less Liabilities     4.4   

 

 
MARKET CAP EXPOSURE (%)8  
Mega Cap (over $25B)     34.3   
Large Cap ($10B-$25B)     11.3   
Mid Cap ($3B-10B)     34.8   
Small Cap (under $3B)     15.2   
Cash and Other Assets, Less Liabilities     4.4   

 

 
ASSET TYPE BREAKDOWN (%)8,9  
Common Equities and ADRs     84.3   
Convertible Corporate Bonds     7.5   
Preferred Equities     3.8   
Cash and Other Assets, Less Liabilities     4.4   

 

7 Not all countries where the Fund may invest are included in the benchmark index.

 

8 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

 

9 Bonds are not included in the MSCI All Country Asia ex Japan Index.
 

 

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Table of Contents

Matthews Asian Growth and Income Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 84.3%

 

     Shares     Value  
CHINA/HONG KONG: 26.5%    

AIA Group, Ltd.

    17,329,400        $104,214,246   

Jardine Matheson Holdings, Ltd.

    1,288,100        75,307,114   

CLP Holdings, Ltd.

    6,725,200        68,699,186   

China Mobile, Ltd. ADR

    1,125,500        65,166,450   

Guangdong Investment, Ltd.

    40,648,000        62,052,501   

Techtronic Industries Co., Ltd.

    14,665,000        61,241,031   

Yum! Brands, Inc.

    665,600        55,191,552   

CK Hutchison Holdings, Ltd.

    4,927,172        54,201,167   

VTech Holdings, Ltd.

    4,390,100        46,282,295   

HSBC Holdings PLC ADR

    1,472,033        46,089,353   

Café de Coral Holdings, Ltd.

    14,582,000        45,799,141   

Vitasoy International Holdings, Ltd.

    24,855,000        45,215,449   

Hang Lung Properties, Ltd.

    17,153,920        34,656,064   

Cheung Kong Property Holdings, Ltd.

    4,400,172        27,723,954   
   

 

 

 

Total China/Hong Kong

      791,839,503   
   

 

 

 
   
SINGAPORE: 14.7%                

Singapore Telecommunications, Ltd.

    21,686,400        66,981,017   

Ascendas REIT

    35,011,100        64,795,823   

United Overseas Bank, Ltd.

    4,274,500        58,893,874   

Singapore Technologies Engineering, Ltd.

    24,912,425        58,641,086   

SIA Engineering Co., Ltd.

    15,928,900        43,584,821   

Singapore Post, Ltd.

    38,209,000        41,869,332   

ComfortDelGro Corp., Ltd.

    19,003,800        39,026,788   

ARA Asset Management, Ltd.

    36,838,667        37,787,240   

Keppel Corp., Ltd.

    6,632,300        27,360,278   
   

 

 

 

Total Singapore

      438,940,259   
   

 

 

 
   
SOUTH KOREA: 8.2%                

KT&G Corp.

    529,674        62,731,966   

Kangwon Land, Inc.

    1,557,377        56,509,490   

Samsung Electronics Co., Ltd.

    43,412        54,063,190   

KEPCO Plant Service & Engineering Co., Ltd.

    634,668        35,882,387   

GS Home Shopping, Inc.

    227,544        33,951,190   
   

 

 

 

Total South Korea

      243,138,223   
   

 

 

 
   
JAPAN: 8.0%                

KDDI Corp.

    2,114,800        64,310,511   

Japan Tobacco, Inc.

    1,581,000        63,717,784   

USS Co., Ltd.

    2,579,300        42,627,035   

Transcosmos, Inc.

    1,457,100        41,497,463   

Lawson, Inc.

    340,300        27,167,792   
   

 

 

 

Total Japan

      239,320,585   
   

 

 

 
   
MALAYSIA: 6.3%                

Genting Malaysia BHD

    64,387,400        71,190,999   

British American Tobacco Malaysia BHD

    3,498,400        45,731,286   

Axiata Group BHD

    29,118,523        40,754,708   

Telekom Malaysia BHD

    18,277,351        30,763,559   
   

 

 

 

Total Malaysia

      188,440,552   
   

 

 

 
   
TAIWAN: 5.3%                

Taiwan Semiconductor Manufacturing Co., Ltd.

    11,282,187        56,858,807   
     Shares     Value  

Chunghwa Telecom Co., Ltd. ADR

    1,422,425        $51,634,028   

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    1,838,624        48,227,108   
   

 

 

 

Total Taiwan

      156,719,943   
   

 

 

 
   
AUSTRALIA: 2.8%    

Insurance Australia Group, Ltd.

    11,324,603        46,649,139   

CSL, Ltd.

    448,874        37,854,749   
   

 

 

 

Total Australia

      84,503,888   
   

 

 

 
   
INDONESIA: 2.7%                

PT Telekomunikasi Indonesia Persero ADR

    906,600        55,719,636   

PT Perusahaan Gas Negara Persero

    139,319,300        24,841,620   
   

 

 

 

Total Indonesia

      80,561,256   
   

 

 

 
   
NEW ZEALAND: 2.3%                

SKYCITY Entertainment Group, Ltd.

    21,053,915        68,916,114   
   

 

 

 

Total New Zealand

      68,916,114   
   

 

 

 
   
UNITED STATES: 1.7%                

ResMed, Inc.

    809,400        51,178,362   
   

 

 

 

Total United States

      51,178,362   
   

 

 

 
   
THAILAND: 1.6%                

Glow Energy Public Co., Ltd.

    17,769,800        43,463,330   

BEC World Public Co., Ltd.

    5,903,100        3,841,135   
   

 

 

 

Total Thailand

      47,304,465   
   

 

 

 
   
NORWAY: 1.5%                

Telenor ASA

    2,669,498        44,188,258   
   

 

 

 

Total Norway

      44,188,258   
   

 

 

 
   
VIETNAM: 1.4%                

Vietnam Dairy Products JSC

    6,818,401        43,125,752   
   

 

 

 

Total Vietnam

      43,125,752   
   

 

 

 
   
PHILIPPINES: 1.3%                

Globe Telecom, Inc.

    742,500        37,533,918   
   

 

 

 

Total Philippines

      37,533,918   
   

 

 

 
   
TOTAL COMMON EQUITIES             2,515,711,078   
   

 

 

 

(Cost $2,246,246,206)

   
   

CONVERTIBLE CORPORATE BONDS: 7.5%

  

 
     Face Amount*     Value  
CHINA/HONG KONG: 5.1%    

Shine Power International, Ltd., Cnv. 0.000%, 07/28/19

    HKD 446,000,000        56,625,978   

Johnson Electric Holdings, Ltd., Cnv. 1.000%, 04/02/21

    49,750,000        51,242,500   

Hengan International Group Co., Ltd., Cnv.

  

 

0.000%, 06/27/18

    HKD 339,000,000        45,990,320   
   

 

 

 

Total China/Hong Kong

      153,858,798   
   

 

 

 
   
 

 

18    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asian Growth and Income Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

CONVERTIBLE CORPORATE BONDS (continued)

 

     Face Amount*     Value  
SINGAPORE: 2.4%    

CapitaLand, Ltd., Cnv.
1.950%, 10/17/23

    SGD 96,500,000        $71,366,732   
   

 

 

 

Total Singapore

      71,366,732   
   

 

 

 
   
TOTAL CONVERTIBLE CORPORATE BONDS        225,225,530   
   

 

 

 

(Cost $234,700,057)

   
   

PREFERRED EQUITIES: 3.8%

   
     Shares     Value  
SOUTH KOREA: 3.8%    

LG Household & Health Care, Ltd., Pfd.

    97,336        56,049,300   

Hyundai Motor Co., Ltd., Pfd.

    355,983        29,330,892   

Hyundai Motor Co., Ltd., 2nd Pfd.

    318,246        26,728,975   
   

 

 

 

Total South Korea

      112,109,167   
   

 

 

 
   
TOTAL PREFERRED EQUITIES        112,109,167   
   

 

 

 

(Cost $38,144,725)

   
   
TOTAL INVESTMENTS: 95.6%             2,853,045,775   

(Cost $2,519,090,988b)

   
   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 4.4%
      132,239,107   
   

 

 

 

NET ASSETS: 100.0%

      $2,985,284,882   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Cost for federal income tax purposes is $2,519,393,773 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $544,908,860   

Gross unrealized depreciation

    (211,256,858
 

 

 

 

Net unrealized appreciation

    $333,652,002   
 

 

 

 

 

* All values are in USD unless otherwise noted.

 

ADR American Depositary Receipt

 

BHD Berhad

 

Cnv. Convertible

 

HKD Hong Kong Dollar

 

JSC Joint Stock Co.

 

Pfd. Preferred

 

REIT Real Estate Investment Trust

 

SGD Singapore Dollar

 

USD U.S. Dollar

See accompanying notes to financial statements.

 

 

matthewsasia.com  |  800.789.ASIA      19   


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Yu Zhang, CFA   Robert Horrocks, PhD

Lead Manager

  Lead Manager
Vivek Tanneeru  

Co-Manager

   
FUND FACTS
    Investor   Institutional

Ticker

  MAPIX   MIPIX

CUSIP

  577125107   577130750

Inception

  10/31/06   10/29/10

NAV

  $16.16   $16.16

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.06%   0.93%

After Fee Waiver and Reimbursement2

  1.05%   0.92%

Portfolio Statistics

Total # of Positions

  71

Net Assets

  $4.7 billion

Weighted Average Market Cap

  $31.6 billion

Portfolio Turnover3

  35.98%

Benchmark

   

MSCI AC Asia Pacific Index

OBJECTIVE

 

 

Total return with an emphasis on providing current income.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in dividend-paying equity securities of companies located in Asia. Asia consists of all countries and markets in Asia, and includes developed, emerging and frontier countries and markets in the Asian region. The Fund may also invest in convertible debt and equity securities.

 

Matthews Asia Dividend Fund

Portfolio Manager Commentary (unaudited)

For the first half of 2016, the Matthews Asia Dividend Fund returned 6.50% (Investor Class) and 6.66% (Institutional Class), outperforming its benchmark, the MSCI All Country Asia Pacific Index, which returned -0.85%. For the quarter ending June 30, the Fund rose 3.99% (Investor Class) and 4.04% (Institutional Class) while its benchmark returned 0.77%. In June, the Fund distributed 18.52 cents per share (Investor Class) and 19.15 cents per share (Institutional Class), bringing its total year-to-date income distribution to 19.51 cents and 20.77 cents per share, respectively.

Market Environment:

Asian equity markets during the first half of the year were marked by volatility, with the second quarter particularly directionless. Some of the region’s major economies were confronted with various growth challenges. The resurgence of China’s credit growth cast doubts on the progress of its structural reforms, and Chinese equities struggled to stage a sustainable recovery. In Japan, the government’s delay of a second consumption tax hike came as little surprise, as the country’s currently anemic economic growth leaves little room for further fiscal consolidation. As the yen, a perceived safe-haven asset, further strengthened during the quarter, the local stock market started to underperform. India was a bright spot—the results of recent state elections strengthened the ruling coalition, increasing prospects of momentum in the reform process. In this context, initiatives such as the passage of the bankruptcy law can help in tackling long-standing issues with nonperforming loans in the banking system.

Performance Contributors and Detractors:

Amid market uncertainties, the Fund’s holdings in defensive business models with strong cash flow generation outperformed during the first half of 2016. One of the top contributors to Fund performance was our holding in Thai Beverage, Thailand’s largest hard liquor company, which announced stronger-than-expected quarterly earnings. Not only did its mainstay liquor division perform steadily, its Chang beer brands, which have struggled for some time, also showed a clear turnaround. This surprised the market with both meaningful volume and profit growth. Its stock rallied following the earnings results.

On the flip side, our holdings in Japanese export companies were among the biggest detractors to Fund performance during the first half of 2016. Bridgestone and Hoya, which both generated meaningful revenue and profits outside of Japan, saw their share prices correct significantly during the second quarter. Our investment thesis rests on their industry-leading positions and improving shareholder return policies via significant dividend hikes. We will continue to closely monitor each company’s business operations and further assess whether sustainable earnings growth and dividend growth can still be delivered amid potential currency headwinds.

Notable Portfolio Changes:

Among our new positions initiated during the quarter, the Fund participated in the initial public offering of Cikarang Listrindo, an independent Indonesian power producer. Despite its new-listing status, Cikarang Listrindo itself has been a major player in Indonesia’s electric power industry for over two decades. With favorable long-term demand outlook for electricity in Indonesia, we believe the firm is well-positioned to deliver sustainable earnings growth due to its visible capacity

(continued)

 
1 Prospectus expense ratios.
2 Matthews has contractually agreed to waive a portion of its advisory fee and administrative and shareholder services fee if the Fund’s average daily net assets are over $3 billion, as follows: for every $2.5 billion average daily net assets of the Fund that are over $3 billion, the advisory fee rate and the administrative and shareholder services fee rate for the Fund with respect to such excess average daily net assets will be each reduced by 0.01%, in each case without reducing such fee rate below 0.00%. Any amount waived by Matthews pursuant to this agreement may not be recouped by Matthews. This agreement will remain in place until April 30, 2017 and may be terminated at any time (i) by the Trust on behalf of the Fund or by the Board of Trustees upon 60 days’ prior written notice to Matthews; or (ii) by Matthews upon 60 days’ prior written notice to the Trust, in each case without payment of any penalty.
3 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

20    MATTHEWS ASIA FUNDS


Table of Contents
               
PERFORMANCE AS OF JUNE 30, 2016                                                 
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Years      5 Years      Since
Inception
     Inception
Date
 
Investor Class (MAPIX)      3.99%         6.50%         -1.81%         5.30%         5.82%         8.98%         10/31/06   
Institutional Class (MIPIX)      4.04%         6.66%         -1.66%         5.45%         5.96%         6.00%         10/29/10   
MSCI AC Asia Pacific Index4      0.77%         -0.85%         -9.35%         2.33%         1.91%         2.41% 5    
Lipper Pacific Region Funds Category Average6      2.45%         2.49%         -6.50%         2.71%         2.76%         3.53% 5    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

                       
INCOME DISTRIBUTION HISTORY                                                                          
    2016           2015  
    Q1      Q2      Q3      Q4      Total           Q1      Q2      Q3      Q4      Total  
Investor (MAPIX)   $ 0.01       $ 0.19         n.a.         n.a.         n.a.        $ 0.02       $ 0.18       $ 0.03       $ 0.04       $ 0.27   
Inst’l (MIPIX)   $ 0.02       $ 0.19         n.a.         n.a.         n.a.        $ 0.02       $ 0.19       $ 0.04       $ 0.04       $ 0.29   

Note: This table does not include capital gains distributions but does include return of capital totaling $0.065 (Investor Class) and $0.068 (Institutional Class) for 2014. Totals may differ by $0.01 due to rounding. For distribution history please visit matthewsasia.com.

 

30-DAY YIELD:

1.76% (Investor Class) 1.85% (Institutional Class)

 

The 30-Day Yield represents net investment income earned by the Fund over the 30-day period ended 6/30/16, expressed as an annual percentage rate based on the Fund’s share price at the end of the 30-day period. The 30-Day Yield should be regarded as an estimate of the Fund’s rate of investment income, and it may not equal the Fund’s actual income distribution rate.

 

Source: BNY Mellon Investment Servicing (US) Inc.

   

DIVIDEND YIELD: 3.04%

 

The dividend yield (trailing) for the portfolio is the weighted average sum of the dividends paid by each equity security held by the Fund over the 12 months ended 6/30/16 divided by the current price of each equity as of 6/30/16. The annualized dividend yield for the Fund is for the equity-only portion of the portfolio. Please note that this is based on gross equity portfolio holdings and does not reflect the actual yield an investor in the Fund would receive. Past yields are no guarantee of future yields.

 

Source: FactSet Research Systems, Bloomberg, MICM.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

 

 

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  4 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  5 Calculated from 10/31/06.

 

  6 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS7                     
     Sector      Country      % of Net Assets  
Minth Group, Ltd.    Consumer Discretionary      China/Hong Kong        4.1%   
Japan Tobacco, Inc.    Consumer Staples      Japan        3.6%   
KT&G Corp.    Consumer Staples      South Korea        3.1%   
NTT DoCoMo, Inc.    Telecommunication Services      Japan        3.0%   
Hoya Corp.    Health Care      Japan        2.8%   
Shenzhou International Group Holdings, Ltd.    Consumer Discretionary      China/Hong Kong        2.8%   
LG Chem, Ltd., Pfd.    Materials      South Korea        2.8%   
BGF Retail Co., Ltd.    Consumer Staples      South Korea        2.8%   
Bridgestone Corp.    Consumer Discretionary      Japan        2.7%   
Kao Corp.    Consumer Staples      Japan        2.6%   
% OF ASSETS IN TOP TEN                30.3%   

 

  7 Holdings may combine more than one security from same issuer and related depositary receipts.

 

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Table of Contents
 
COUNTRY ALLOCATION (%)8,9  
Japan     30.9   
China/Hong Kong     29.9   
South Korea     8.7   
Taiwan     6.0   
Indonesia     5.4   
Singapore     4.7   
India     2.5   
Australia     2.5   
Thailand     2.3   
Vietnam     1.8   
Luxembourg     1.6   
Philippines     1.6   
Cash and Other Assets, Less Liabilities     2.1   

 

 
SECTOR ALLOCATION (%)9  
Consumer Staples     30.7   
Consumer Discretionary     16.8   
Telecommunication Services     13.4   
Financials     11.6   
Industrials     10.9   
Information Technology     5.2   
Health Care     3.8   
Materials     3.0   
Energy     1.3   
Utilities     1.2   
Cash and Other Assets, Less Liabilities     2.1   

 

 
MARKET CAP EXPOSURE (%)9  
Mega Cap (over $25B)     34.7   
Large Cap ($10B–$25B)     17.2   
Mid Cap ($3B–10B)     28.2   
Small Cap (under $3B)     17.8   
Cash and Other Assets, Less Liabilities     2.1   

 

8 Not all countries where the Fund may invest are included in the benchmark index.

 

9 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

Matthews Asia Dividend Fund

Portfolio Manager Commentary  (unaudited) (continued)

expansion plan. Given the large ownership of its founding families, the company also has a clear dividend payout policy.

During the second quarter, the Fund exited its position in Guangdong Investment, a Chinese conglomerate. The firm had delivered steady financial results, benefiting from a stable and high margin water supply business, and its share price appreciated significantly since we first invested in it. At recent valuations, we found the risk-reward profile to be less attractive and decided to redeploy the capital into new ideas such as Cikarang Listrindo.

Outlook:

The volatility in the current market is likely to remain elevated, as a number of macro-driven events could continue to drive investor sentiment. However, the market can also overreact, especially in the short-term, creating buying opportunities for long-term investors to pick up quality companies at attractive valuations. We believe the current Asian market conditions provide such opportunities for us to invest in companies with attractive dividend yields and dividend growth.

 

 

22    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Dividend Fund

June 30, 2016

Consolidated Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 95.1%

 

     Shares     Value  
JAPAN: 30.9%    

Japan Tobacco, Inc.

    4,163,100        $167,782,104   

NTT DoCoMo, Inc.

    5,294,500        142,784,981   

Hoya Corp.

    3,748,300        133,874,256   

Bridgestone Corp.

    3,960,200        127,268,723   

Kao Corp.

    2,095,100        122,023,145   

Pigeon Corp.

    3,806,100        113,781,319   

Suntory Beverage & Food, Ltd.

    2,072,300        93,773,916   

ITOCHU Corp.

    7,622,700        93,250,110   

Skylark Co., Ltd.

    6,375,800        80,809,739   

Sumitomo Mitsui Financial Group, Inc.

    2,572,800        74,289,753   

MISUMI Group, Inc.

    4,006,600        72,338,023   

Seven & I Holdings Co., Ltd.

    1,688,200        70,783,041   

Toyo Suisan Kaisha, Ltd.

    1,693,500        68,693,542   

Anritsu Corp.

    7,909,500        45,642,823   

Mitsubishi Pencil Co., Ltd.

    779,700        36,542,100   

Itochu Enex Co., Ltd.

    1,614,700        14,328,192   
   

 

 

 

Total Japan

      1,457,965,767   
   

 

 

 
   
CHINA/HONG KONG: 29.9%                

Minth Group, Ltd.

    59,535,000        192,231,571   

Shenzhou International Group Holdings, Ltd.

    27,377,000        132,386,048   

AIA Group, Ltd.

    18,703,600        112,478,307   

China Construction Bank Corp. H Shares

    137,693,000        91,791,399   

China Mobile, Ltd. ADR

    1,574,225        91,147,628   

Qualcomm, Inc.

    1,569,800        84,094,186   

Yuexiu Transport Infrastructure, Ltd.

    103,392,000        66,705,866   

Kweichow Moutai Co., Ltd. A Shares

    1,466,605        64,319,278   

PICC Property & Casualty Co., Ltd. H Shares

    37,910,000        59,770,575   

Café de Coral Holdings, Ltd.

    17,330,000        54,430,058   

Far East Horizon, Ltd.

    67,294,000        52,559,354   

Fuyao Glass Industry Group Co., Ltd. H Sharesc

    21,248,000        49,449,218   

Jiangsu Expressway Co., Ltd. H Shares

    35,370,000        49,393,723   

Dali Foods Group Co., Ltd.

    84,067,000        47,900,755   

HKBN, Ltd.

    41,566,123        43,841,167   

Henan Shuanghui Investment & Development Co., Ltd. A Sharesb

    12,972,979        40,966,116   

China Machinery Engineering Corp. H Shares

    56,592,000        37,005,060   

Hopewell Holdings, Ltd.

    8,530,000        27,122,175   

Red Star Macalline Group Corp., Ltd. H Sharesc

    23,377,200        25,481,467   

Kweichow Moutai Co., Ltd. A Sharesb

    420,725        18,511,956   

China Mobile, Ltd.

    1,411,000        16,302,998   

Stella International Holdings, Ltd.

    9,146,500        16,194,029   

China Power International Development, Ltd.

    42,567,000        15,713,040   

Greatview Aseptic Packaging Co., Ltd.

    21,913,000        10,423,853   

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. B Shares

    5,188,890        8,120,592   

China Nuclear Engineering Group Co. A Sharesb,c

    1,000        3,149   
   

 

 

 

Total China/Hong Kong

      1,408,343,568   
   

 

 

 
     Shares     Value  
TAIWAN: 6.0%    

Chunghwa Telecom Co., Ltd. ADR

    3,324,301        $120,672,126   

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    3,027,940        79,422,866   

St. Shine Optical Co., Ltd.

    1,965,000        44,405,313   

Sercomm Corp.

    12,177,000        27,329,251   

Taiwan Semiconductor Manufacturing Co., Ltd.

    2,336,469        11,775,096   
   

 

 

 

Total Taiwan

      283,604,652   
   

 

 

 
   
SOUTH KOREA: 5.9%                

KT&G Corp.

    1,235,189        146,289,669   

BGF Retail Co., Ltd.

    697,460        129,863,372   
   

 

 

 

Total South Korea

      276,153,041   
   

 

 

 
   
INDONESIA: 5.4%                

PT Telekomunikasi Indonesia Persero ADR

    1,040,634        63,957,366   

PT Hanjaya Mandala Sampoerna

    211,122,500        60,780,169   

PT United Tractors

    41,221,900        46,509,336   

PT Cikarang Listrindoc

    371,011,100        42,120,465   

PT Telekomunikasi Indonesia Persero

    130,591,800        39,732,004   
   

 

 

 

Total Indonesia

      253,099,340   
   

 

 

 
   
SINGAPORE: 4.7%                

Singapore Technologies Engineering, Ltd.

    28,460,000        66,991,684   

CapitaLand Retail China Trust, REIT

    43,232,400        48,256,068   

Ascendas India Trust

    53,470,700        39,405,020   

ARA Asset Management, Ltd.

    34,749,418        35,644,194   

Super Group, Ltd.

    48,842,900        30,107,908   
   

 

 

 

Total Singapore

      220,404,874   
   

 

 

 
   
INDIA: 2.5%                

ITC, Ltd.

    13,801,000        75,558,959   

Bharti Infratel, Ltd.

    7,522,045        38,543,439   

Gujarat Pipavav Port, Ltd.c

    2,019,621        4,895,765   
   

 

 

 

Total India

      118,998,163   
   

 

 

 
   
AUSTRALIA: 2.5%                

Breville Group, Ltd.

    10,644,019        60,033,974   

Spotless Group Holdings, Ltd.

    58,411,087        49,433,995   

Reliance Worldwide Corp., Ltd.c

    3,740,934        8,621,076   
   

 

 

 

Total Australia

      118,089,045   
   

 

 

 
   
THAILAND: 2.3%                

Thai Beverage Public Co., Ltd.

    161,322,100        109,391,138   
   

 

 

 

Total Thailand

      109,391,138   
   

 

 

 
   
VIETNAM: 1.8%                

Vietnam Dairy Products JSC

    13,680,740        86,529,408   
   

 

 

 

Total Vietnam

      86,529,408   
   

 

 

 
   
LUXEMBOURG: 1.6%                

L’Occitane International SA

    36,976,500        75,737,977   
   

 

 

 

Total Luxembourg

      75,737,977   
   

 

 

 
   
 

 

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Table of Contents

Matthews Asia Dividend Fund

June 30, 2016

Consolidated Schedule of Investmentsa  (unaudited) (continued)

COMMON EQUITIES (continued)

 

     Shares     Value  
PHILIPPINES: 1.6%    

Globe Telecom, Inc.

    1,447,730        $73,183,811   
   

 

 

 

Total Philippines

      73,183,811   
   

 

 

 
   
NEW ZEALAND: 0.0%                

SKY Network Television, Ltd.

    667,879        2,279,286   
   

 

 

 

Total New Zealand

      2,279,286   
   

 

 

 
   
TOTAL COMMON EQUITIES             4,483,780,070   
   

 

 

 

(Cost $3,781,310,598)

   
   

PREFERRED EQUITIES: 2.8%

   
SOUTH KOREA: 2.8%                

LG Chem, Ltd., Pfd.

    790,477        131,951,222   
   

 

 

 

Total South Korea

      131,951,222   
   

 

 

 
   
TOTAL PREFERRED EQUITIES             131,951,222   
   

 

 

 

(Cost $70,742,408)

   
   
TOTAL INVESTMENTS: 97.9%             4,615,731,292   

(Cost $3,852,053,006d)

   
   
CASH AND OTHER ASSETS, LESS LIABILITIES: 2.1%       98,758,198   
   

 

 

 

NET ASSETS: 100.0%

      $4,714,489,490   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Security held by Matthews ADF-U Series. See note 2-C.

 

c Non-income producing security.

 

d Cost for federal income tax purposes is $3,859,310,506 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $1,080,275,615   

Gross unrealized depreciation

    (323,854,829
 

 

 

 

Net unrealized appreciation

    $ 756,420,786   
 

 

 

 

 

Affiliated Issuer, as defined under the Investment Company Act of 1940 (ownership of 5% or more of the outstanding voting securities of this issuer)

 

ADR American Depositary Receipt

 

JSC Joint Stock Co.

 

Pfd. Preferred

 

REIT Real Estate Investment Trust

See accompanying notes to financial statements.

 

 

24    MATTHEWS ASIA FUNDS


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Yu Zhang, CFA  

Lead Manager

   
Sherwood Zhang, CFA  

Co-Manager

   
FUND FACTS        
    Investor   Institutional

Ticker

  MCDFX   MICDX

CUSIP

  577125305   577130735

Inception

  11/30/09   10/29/10

NAV

  $13.46   $13.46

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.19%   1.00%

Portfolio Statistics

 

Total # of Positions

  48

Net Assets

  $164.4 million

Weighted Average Market Cap

  $24.5 billion

Portfolio Turnover2

  79.91%

Benchmark

   

MSCI China Index

OBJECTIVE

 

 

Total return with an emphasis on providing current income.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in dividend-paying equity securities of companies located in China. China includes its administrative and other districts, such as Hong Kong. The Fund may also invest in convertible debt and equity securities.

Matthews China Dividend Fund

Portfolio Manager Commentary (unaudited)

For the first half of 2016, the Matthews China Dividend Fund returned –0.87% (Investor Class) and –0.76% (Institutional Class), while its benchmark, the MSCI China Index, returned –4.53%. For the quarter ending June 30, the Fund returned 1.87% (Investor Class) and 1.90% (Institutional Class), outperforming its benchmark, which returned 0.28%.

Market Environment:

The resurgence of China’s credit growth cast doubts on the progress of the country’s structural reforms. However, during the second quarter of the year, both China A-shares and Hong Kong markets were stable, as much negative sentiment seemed priced in. China’s domestic A-share markets even edged higher during the global sell-off that resulted immediately after the Brexit vote late in the second quarter. In June, global index provider MSCI again decided against including China A-shares in its global emerging markets index. While MSCI itself praised the significant progress made by Chinese regulators during the past year, its surprising decision had a minimal impact on the market.

Performance Contributors and Detractors:

During both the second quarter and year-to-date periods, China Maple Leaf Educational Systems, the leading private school operator, was our top contributor to Fund performance. The company reported strong earnings results due to increased student enrollment and a higher utilization rate of its schools. Auto parts supplier Minth Group also performed strongly. We have seen the company continue to grow its business beyond China’s domestic market, and also continue to diversify its product offerings. The market reacted positively when Minth announced its plan to enter the automotive camera business during the second quarter. NetEase, an online gaming operator that we initiated a position in earlier this year, was also among our top contributors. NetEase was among the first Chinese Internet companies listed on a U.S. exchange that adopted a consistent dividend policy. Its long-term returns since then should set a good example to all Chinese companies in fast-growing industries, such as technology, media and entertainment, listed overseas, as corporate management teams in such industries often neglect the importance of a dividend policy for public companies.

On the flip side, China Power International Development, an independent power producer, was the largest performance detractor both year-to-date and during the second quarter. Market participants worried that slower economic growth would negatively impact electricity demand, and shifting government policy added to the uncertainty regarding the company’s outlook. We are closely monitoring the policy direction and reassessing our investment thesis.

Notable Portfolio Changes:

We made a few changes within our financial sector holdings during the second quarter, based on our analysis of Chinese government policy responses. We initiated a new position in PICC Property & Casualty, the largest insurer in its field in China, as investors cast doubts on its future profitability after a pricing reform initiative was announced. We believe the scale of PICC Property & Casualty’s business and its supporting network will be advantages in serving a fast-growing auto market with a high accident rate, and the reform initiatives should likely play into its favor long term. Due to our concerns over China’s reaccelerated credit growth this year, we exited our position in Huishang Bank Corp., a regional bank in less-developed Anhui Province. We also sold out of China International Capital Corporation, a leading investment bank that had an initial public offering last year. Although the firm’s differentiated strategy and service standard among local peers continues to appeal to us, its decision not to pay dividends disappointed.

(continued)

 

 

1 Prospectus expense ratios.
2 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

matthewsasia.com  |  800.789.ASIA      25   


Table of Contents
     
PERFORMANCE AS OF JUNE 30, 2016                
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Year      5 Year      Since
Inception
     Inception
Date
 
Investor Class (MCDFX)      1.87%         -0.87%         -11.53%         7.59%         5.97%         8.35%         11/30/09   
Institutional Class (MICDX)      1.90%         -0.76%         -11.33%         7.80%         6.19%         6.48%         10/29/10   
MSCI China Index3      0.28%         -4.53%         -23.20%         3.62%         -0.24%         0.78% 4    
Lipper China Region Funds Category Average5      -0.10%         -5.50%         -19.94%         3.18%         -0.21%         2.08% 4    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

               
INCOME DISTRIBUTION HISTORY                                                         
       2016           2015  
       June        December        Total           June        December        Total  
Investor (MCDFX)      $ 0.21           n.a.           n.a.        $ 0.27         $ 0.01         $ 0.28   
Inst’l (MICDX)      $ 0.22           n.a.           n.a.        $ 0.28         $ 0.03         $ 0.30   

Note: This table does not include capital gains distributions. Totals may differ by $0.01 due to rounding. For income distribution history, visit matthewsasia.com.

 

30-DAY YIELD:

2.04% (Investor Class) 2.30% (Institutional Class)

 

The 30-Day Yield represents net investment income earned by the Fund over the 30-day period ended 6/30/16, expressed as an annual percentage rate based on the Fund’s share price at the end of the 30-day period. The 30-Day Yield should be regarded as an estimate of the Fund’s rate of investment income, and it may not equal the Fund’s actual income distribution rate.

 

Source: BNY Mellon Investment Servicing (US) Inc.

   

DIVIDEND YIELD: 3.76%

 

The dividend yield (trailing) for the portfolio is the weighted average sum of the dividends paid by each equity security held by the Fund over the 12 months ended 6/30/16 divided by the current price of each equity as of 6/30/16. The annualized dividend yield for the Fund is for the equity-only portion of the portfolio. Please note that this is based on gross equity portfolio holdings and does not reflect the actual yield an investor in the Fund would receive. Past yields are no guarantee of future yields.

 

Source: FactSet Research Systems, Bloomberg, MICM.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

 

 

LOGO

Plotted monthly. The performance data does not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  3 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  4 Calculated from 11/30/09.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                   
     Sector           % of Net Assets  
China Mobile, Ltd.    Telecommunication Services           3.3%   
China Medical System Holdings, Ltd.    Health Care           3.3%   
Minth Group, Ltd.    Consumer Discretionary           3.1%   
CITIC Telecom International Holdings, Ltd.    Telecommunication Services           3.0%   
China Construction Bank Corp.    Financials           3.0%   
PICC Property & Casualty Co., Ltd.    Financials           2.9%   
HKBN, Ltd.    Telecommunication Services           2.9%   
AIA Group, Ltd.    Financials           2.9%   
Kweichow Moutai Co., Ltd.    Consumer Staples           2.9%   
Red Star Macalline Group Corp., Ltd.    Financials           2.8%   
% OF ASSETS IN TOP TEN              30.1%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

26    MATTHEWS ASIA FUNDS


Table of Contents

Matthews China Dividend Fund

Portfolio Manager Commentary  (unaudited) (continued)

Outlook:

Global market volatility may remain high as a number of macroeconomic-driven events could drive investor sentiment during the second half of the year. For China, some government reform initiatives in several industries could lead to unintended consequences down the road. However, when markets overreact, especially in the short term, buying opportunities for long-term investors often present themselves, allowing quality companies to be picked up at attractive valuations. We will continue to look for good companies and businesses that may be less impacted by Chinese government policies.

 
COUNTRY ALLOCATION (%)7,8  
China/Hong Kong     83.9   
Taiwan     6.7   
Singapore     3.5   
Cash and Other Assets, Less Liabilities     5.9   

 

 
SECTOR ALLOCATION (%)8  
Consumer Discretionary     20.7   
Financials     18.9   
Industrials     15.1   
Telecommunication Services     9.3   
Information Technology     9.2   
Consumer Staples     9.0   
Materials     4.4   
Health Care     4.4   
Utilities     2.0   
Energy     1.1   
Cash and Other Assets, Less Liabilities     5.9   

 

 
MARKET CAP EXPOSURE (%)8  
Mega Cap (over $25B)     19.1   
Large Cap ($10B–$25B)     2.9   
Mid Cap ($3B–10B)     30.9   
Small Cap (under $3B)     41.2   
Cash and Other Assets, Less Liabilities     5.9   

 

7 Not all countries where the Fund may invest are included in the benchmark index.

 

8 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.
 

 

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Table of Contents

Matthews China Dividend Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 94.1%

 

     Shares     Value  
CONSUMER DISCRETIONARY: 20.7%   

Auto Components: 6.1%

  

Minth Group, Ltd.

    1,596,000        $5,153,298   

Fuyao Glass Industry Group Co., Ltd. H Shares

    1,787,600        4,160,176   

Xingda International Holdings, Ltd. H Shares

    3,060,000        706,999   
   

 

 

 
    10,020,473   
   

 

 

 
   

Diversified Consumer Services: 4.8%

  

China Maple Leaf Educational Systems, Ltd.

    3,828,000        3,454,092   

New Oriental Education & Technology Group, Inc. ADR

    71,000        2,973,480   

China Distance Education Holdings, Ltd. ADR

    147,200        1,522,048   
   

 

 

 
    7,949,620   
   

 

 

 
   

Textiles, Apparel & Luxury Goods: 4.2%

  

Heilan Home Co., Ltd. A Shares

    2,041,837        3,475,699   

Shenzhou International Group Holdings, Ltd.

    701,000        3,389,802   
   

 

 

 

Total Textiles, Apparel & Luxury Goods

      6,865,501   
 

 

 

 
   

Hotels, Restaurants & Leisure: 3.3%

  

Café de Coral Holdings, Ltd.

    922,000        2,895,817   

Shanghai Jin Jiang International Hotels Group Co., Ltd. H Shares

    7,490,000        2,463,560   

Xiao Nan Guo Restaurants Holdings, Ltd.b

    1,416,000        75,479   
   

 

 

 
    5,434,856   
   

 

 

 
   

Specialty Retail: 2.3%

  

Chow Tai Fook Jewellery Group, Ltd.

    3,758,200        2,700,427   

China Harmony New Energy Auto Holding, Ltd.

    1,911,000        1,029,482   
   

 

 

 
    3,729,909   
   

 

 

 

Total Consumer Discretionary

  

    34,000,359   
 

 

 

 
   
FINANCIALS: 18.9%   

Insurance: 5.9%

  

PICC Property & Casualty Co., Ltd. H Shares

    3,064,000        4,830,837   

AIA Group, Ltd.

    799,200        4,806,169   
   

 

 

 

Total Insurance

  

    9,637,006   
   

 

 

 
 

Banks: 5.8%

  

China Construction Bank Corp. H Shares

    7,317,000        4,877,791   

China Merchants Bank Co., Ltd. H Shares

    2,051,500        4,628,434   
   

 

 

 
    9,506,225   
   

 

 

 
   

Real Estate Management & Development: 3.6%

  

Red Star Macalline Group Corp., Ltd. H Shares

    4,274,000        4,658,718   

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. B Shares

    802,483        1,255,883   
   

 

 

 
    5,914,601   
   

 

 

 
   

Real Estate Investment Trusts (REITS): 2.0%

  

CapitaLand Retail China Trust, REIT

    2,957,600        3,301,277   
   

 

 

 
   

Capital Markets: 1.6%

  

China Everbright, Ltd.

    1,392,000        2,700,926   
   

 

 

 

Total Financials

  

    31,060,035   
 

 

 

 
   
     Shares     Value  
INDUSTRIALS: 15.1%   

Transportation Infrastructure: 4.3%

  

Qingdao Port International Co., Ltd. H Shares

    9,636,000        $4,390,020   

Yuexiu Transport Infrastructure, Ltd.

    4,290,000        2,767,798   
   

 

 

 
    7,157,818   
   

 

 

 
   

Marine: 2.7%

  

SITC International Holdings Co., Ltd.

    8,403,000        4,420,363   
   

 

 

 
   

Road & Rail: 2.3%

  

Guangshen Railway Co., Ltd. H Shares

    7,110,000        3,392,128   

Guangshen Railway Co., Ltd. ADR

    14,400        341,424   
   

 

 

 
    3,733,552   
   

 

 

 
   

Air Freight & Logistics: 2.1%

  

Sinotrans, Ltd. H Shares

    7,895,000        3,524,826   
   

 

 

 
   

Construction & Engineering: 2.1%

  

China Machinery Engineering Corp. H Shares

    5,235,000        3,423,125   
   

 

 

 
   

Electrical Equipment: 1.6%

  

Voltronic Power Technology Corp.

    187,049        2,614,751   
   

 

 

 

Total Industrials

  

    24,874,435   
 

 

 

 
   
TELECOMMUNICATION SERVICES: 9.3%   

Diversified Telecommunication Services: 6.0%

  

CITIC Telecom International Holdings, Ltd.

    13,169,000        4,979,208   

HKBN, Ltd.

    4,578,957        4,829,578   
   

 

 

 
    9,808,786   
   

 

 

 
   

Wireless Telecommunication Services: 3.3%

  

China Mobile, Ltd. ADR

    94,330        5,461,707   
   

 

 

 

Total Telecommunication Services

  

    15,270,493   
 

 

 

 
   
INFORMATION TECHNOLOGY: 9.2%   

Communications Equipment: 2.6%

  

Sercomm Corp.

    1,930,000        4,331,564   
   

 

 

 
   

Internet Software & Services: 2.5%

  

NetEase, Inc. ADR

    21,200        4,096,264   
   

 

 

 
   

Semiconductors & Semiconductor Equipment: 1.6%

  

Qualcomm, Inc.

    50,900        2,726,713   
   

 

 

 
   

Software: 1.5%

  

IGG, Inc.

    5,675,000        2,477,348   
   

 

 

 
   

Electronic Equipment, Instruments & Components: 1.0%

  

Aurora Corp.

    986,000        1,601,502   
   

 

 

 

Total Information Technology

  

    15,233,391   
 

 

 

 
   
CONSUMER STAPLES: 9.0%   

Food & Staples Retailing: 3.8%

  

Sun Art Retail Group, Ltd.

    5,214,500        3,666,760   

Taiwan FamilyMart Co., Ltd.

    399,000        2,502,368   
   

 

 

 

Total Food & Staples Retailing

  

    6,169,128   
 

 

 

 
   

Beverages: 2.9%

  

Kweichow Moutai Co., Ltd. A Shares

    109,398        4,797,747   
   

 

 

 
   

Food Products: 2.3%

  

Dali Foods Group Co., Ltd.

    6,647,000        3,787,411   
   

 

 

 

Total Consumer Staples

  

    14,754,286   
 

 

 

 
   
 

 

28    MATTHEWS ASIA FUNDS


Table of Contents

Matthews China Dividend Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

COMMON EQUITIES (continued)

 

     Shares     Value  
MATERIALS: 4.4%   

Paper & Forest Products: 2.3%

  

Lee & Man Paper Manufacturing, Ltd.

    5,053,000        $3,774,972   
   

 

 

 
   

Containers & Packaging: 2.1%

  

Greatview Aseptic Packaging Co., Ltd.

    7,335,000        3,489,205   
   

 

 

 

Total Materials

  

    7,264,177   
 

 

 

 
   
HEALTH CARE: 4.4%   

Pharmaceuticals: 4.4%

  

China Medical System Holdings, Ltd.

    3,498,000        5,361,130   

Tianjin ZhongXin Pharmaceutical Group Corp., Ltd. S Shares

    2,439,700        1,843,672   
   

 

 

 

Total Health Care

  

    7,204,802   
 

 

 

 
   
UTILITIES: 2.0%   

Independent Power and Renewable Electricity Producers: 2.0%

  

China Power International Development, Ltd.

    8,937,000        3,298,974   
   

 

 

 

Total Utilities

  

    3,298,974   
 

 

 

 
   
ENERGY: 1.1%   

Energy Equipment & Services: 1.1%

  

Hilong Holding, Ltd.

    16,066,000        1,759,467   
   

 

 

 

Total Energy

  

    1,759,467   
 

 

 

 
   

RIGHTS: 0.0%

  

CONSUMER DISCRETIONARY: 0.0%   

Hotels, Restaurants & Leisure: 0.0%

  

Xiao Nan Guo Restaurants Holdings, Ltd.,
expires 7/12/16b

    2,488,000        1,135   
   

 

 

 

Total Consumer Discretionary

      1,135   
   

 

 

 
   
TOTAL RIGHTS        1,135   
   

 

 

 

(Cost $0)

   
   
TOTAL INVESTMENTS: 94.1%        154,721,554   

(Cost $155,506,353C)

  

   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 5.9%
        9,659,251   
 

 

 

 

NET ASSETS: 100.0%

  

    $164,380,805   
 

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $155,571,255 and net unrealized depreciation consists of:

 

Gross unrealized appreciation

    $15,622,872   

Gross unrealized depreciation

    (16,472,573
 

 

 

 

Net unrealized depreciation

    ($849,701
 

 

 

 

 

ADR American Depositary Receipt

 

REIT Real Estate Investment Trust

See accompanying notes to financial statements.

 

 

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Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Beini Zhou, CFA

Lead Manager

Michael B. Han, CFA  

Co-Manager

FUND FACTS        
    Investor   Institutional

Ticker

  MAVRX   MAVAX

CUSIP

  577130693   577130685

Inception

  11/30/15   11/30/15

NAV

  $10.17   $10.16

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  36.42%   36.17%

After fee waiver and Reimbursement2

  1.50%   1.25%

Portfolio Statistics

   

Total # of Positions

  44

Net Assets

  $2.0 million

Weighted Average Market Cap

  $21.1 billion

Portfolio Turnover3

  10.80%

Benchmark

   

MSCI AC Asia ex Japan Index

OBJECTIVE

 

 

Long term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in common stock, preferred stock and other equity securities, and convertible securities of companies located in Asia. The Fund seeks to create an investable universe of value companies that it believes trade at market values with discounts to their intrinsic value, have strong financial and market positions, have strong management and are oriented to creating value for their shareholders. Matthews assesses companies within this universe according to each of these factors.

Matthews Asia Value Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Asia Value Fund returned 3.25% (Investor Class) and 3.36% (Institutional Class) while its benchmark, the MSCI All Country Asia ex Japan Index, returned 2.32%. For the quarter ending June 30, the Fund returned 1.30% (Investor) and 1.40% (Institutional Class) while its benchmark returned 0.51%.

Market Environment:

The second quarter would have been characterized as relatively uneventful had it ended a week earlier. On June 24th, much to the market’s surprise, the U.K. voted to leave the European Union in a referendum, a “black swan” event that few market pundits anticipated. As a result, global markets declined sharply for a day or two, but following the news of further fiscal stimulus and monetary easing globally, the S&P 500 largely recovered its losses to near its pre-Brexit level, while the MSCI AC Asia ex Japan Index even surpassed its pre-Brexit level over the week leading up to the Independence Day weekend.

Performance Contributors and Detractors:

Japan’s Yamada Consulting, a small management firm serving small-to-medium enterprise clients, was the largest contributor to Fund performance during the quarter. The share price rallied strongly after Yamada reported good fiscal year-end earnings. The company has solid financials with profits growing at a double digit compound annual growth rate (CAGR)† in recent years. Management has targeted a 20% return on equity (ROE) and 10% profit growth. Therefore, they aim to return half of their net income to shareholders via dividends and share buybacks; we are impressed by the management team’s approach to capital allocation. Prior to the rally in the share price, the company was trading at 3x earnings before interest and tax (EBIT)‡, and had close to a 5% dividend yield and double-digit profit growth. As value investors, we aim to find other companies with similarly attractive financials and valuations.

Following a solid first quarter, Kweichow Moutai, which is listed on China’s domestic A-share market, performed strongly again in the second quarter. Kweichow Moutai is one of the most well-known liquor companies in the country, and also one of the best known domestic consumer brands. In addition to reporting solid earnings results during the quarter, it was widely reported that strong end demand resulted in an increase in their wholesale pricing to their distributors. The share price is now trading at a high-teen price to earnings (P/E)* ratio ex cash, a still reasonable level.

Among the largest detractors to portfolio performance during the quarter were CK Hutchison and Shandong Weigao Group. CK Hutchison is Hong Kong business magnate Li Ka-Shing’s non-property holding company. It is a conglomerate with businesses such as telecom, energy, retail, infrastructure and ports. They have substantial mobile telecom and infrastructure assets in Europe, particularly in the U.K, and the share price declined significantly as a result of the Brexit vote.

 

 

(continued)

 

Compound Annual Growth Rate (CAGR): Compound Annual Growth Rate (CAGR) is the year-over-year growth rate of an investment over a specified period of time.

 

Earnings before Interest and tax (EBIT): Earnings before interest and tax is an indicator of a company’s profitability, often calculated as revenue minus expenses, excluding tax and interest.

 

* Price-to-Earnings (P/E) Ratio: Price-to-Earnings Ratio (P/E Ratio) is a valuation ratio of a company’s current share price compared to its per-share earnings.

 

1 Prospectus expense ratios.
2 Matthews has contractually agreed (i) to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 1.25% first by waiving class specific expenses (i.e., shareholder service fees specific to a particular class) of the Institutional Class and then, to the extent necessary, by waiving non-class specific expenses of the Institutional Class, and (ii) if any Fund-wide expenses (i.e., expenses that apply to both the Institutional Class and the Investor Class) are waived for the Institutional Class to maintain the 1.25% expense limitation, to waive an equal amount (in annual percentage terms) of those same expenses for the Investor Class. The Total Annual Fund Operating Expenses After Fee Waiver and Expense Reimbursement for the Investor Class may vary from year to year and will in some years exceed 1.25%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2018 and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.
3 Not annualized. The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

30    MATTHEWS ASIA FUNDS


Table of Contents
         
PERFORMANCE AS OF JUNE 30, 2016                            
 

 

   Actual Return, Not Annualized         
     3 Months      YTD      Since
Inception
     Inception
Date
 
Investor Class (MAVRX)      1.30%         3.25%         1.85%         11/30/15   
Institutional Class (MAVAX)      1.40%         3.36%         2.02%         11/30/15   
MSCI AC Asia ex Japan Index4      0.51%         2.32%         1.89%      
Lipper Pacific Region Funds Category Average5      2.45%         2.49%         2.26%      

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

The performance data does not reflect the deduction of taxes that a shareholder would pay on dividends, capital gain distributions or redemption of Fund shares. Values are in US$.

 

  4 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                     
     Sector      Country      % of Net Assets  
YAMADA Consulting Group Co., Ltd.    Industrials      Japan        4.9%   
Shandong Weigao Group Medical Polymer Co., Ltd.    Health Care      China/Hong Kong        4.6%   
Samsung Electronics Co., Ltd., Pfd.    Information Technology      South Korea        4.6%   
Kweichow Moutai Co., Ltd.    Consumer Staples      China/Hong Kong        4.3%   
CK Hutchison Holdings, Ltd.    Industrials      China/Hong Kong        3.5%   
Qualcomm, Inc.    Information Technology      China/Hong Kong        2.9%   
Samsung SDI Co., Ltd., Pfd.    Information Technology      South Korea        2.8%   
ARA Asset Management, Ltd.    Financials      Singapore        2.4%   
Hyundai Motor Co., Ltd., 2nd Pfd.    Consumer Discretionary      South Korea        2.4%   
DGB Financial Group, Inc.    Financials      South Korea        2.3%   
% OF ASSETS IN TOP TEN                34.7%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

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Table of Contents
 
COUNTRY ALLOCATION (%)7,8  
South Korea     29.1   
China/Hong Kong     25.3   
Japan     9.0   
Singapore     6.9   
Taiwan     4.0   
Malaysia     2.8   
United States     2.1   
Switzerland     1.9   
United Kingdom     1.8   
Israel     1.4   
Thailand     0.9   
Cash and Other Assets, Less Liabilities     14.8   

 

 
SECTOR ALLOCATION (%)8  

Consumer Discretionary

    19.1   

Information Technology

    15.8   

Industrials

    14.6   

Financials

    12.8   

Consumer Staples

    8.4   

Health Care

    8.3   

Materials

    6.2   

Cash and Other Assets, Less Liabilities

    14.8   

 

 
MARKET CAP EXPOSURE (%)8  
Mega Cap (over $25B)     19.7   
Large Cap ($10B–$25B)     1.8   
Mid Cap ($3B–10B)     7.1   
Small Cap (under $3B)     56.5   
Cash and Other Assets, Less Liabilities     14.8   

 

7 Not all countries where the Fund may invest are included in the benchmark index.

 

8 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

Matthews Asia Value Fund

Portfolio Manager Commentary  (unaudited) (continued)

Though the intrinsic value of the company has indeed come down post Brexit due to British pound weakness, we believe the value of the company remains substantially above book value, even after taking into account an appropriate level of discount for a conglomerate. Over the last few decades, Li Ka-Shing has created a lot of value for minority shareholders, culminating in the de-merging of the conglomerate into property and non-property assets in 2015, and we believe the Brexit result will not change the company’s savvy capital-allocation approach.

Shandong Weigao Group is one of the largest medical device companies in China. The company’s core business, which contributes close to three quarters of its profit, is medical consumables such as infusion sets, syringes, and needles—and they are by far the biggest domestic player in consumables. Two other smaller segments—orthopedics and dialysis—have good growth potential and are industry leaders. Shandong Weigao’s share price has been de-rated over the past few years due to decelerating growth in their core consumables business. During the quarter, Shangong announced its plans to list the orthopedics business on the domestic A-share market, and also awarded the orthopedics management team with related shares that would lead to earnings dilution in the short term. The market likely took the dilution news negatively. We, on the contrary, welcome the news and we believe that a more incentivized management team with newly awarded shares will more than offset the resulting dilution in earnings. We also believe that listing their orthopedics business on the domestic A-share market, which will likely attract a higher multiple, is a great way to unlock value. The current share price implies a high-single digit P/E for the company’s highly profitable medical consumables business which is still delivering 10% profit growth.

Notable Portfolio Changes:

During the quarter, we exited China’s Daqin Railway, Knowles Corp. of the U.S., and Japan’s Doshisha. The slight tariff cut announced by Daqin Railway—due to a depressed coal market—was unexpected as we had anticipated liberalization of their tariffs after years of regulatory control. We also sold Knowles Corp. as the company reported good earnings and its share price rallied to our estimated intrinsic value. We switched out of Doshisha to Yamada Consulting while maintaining our overall exposure to Japan as the latter became much more attractive.

We initiated a position in the Swiss luxury brand owner Cie Financiere Richemont during the quarter after they reported poor full-year earnings. Richemont owns a collection of some of the most coveted luxury brands such as Cartier and Van Cleef & Arpels. We estimate that more than half of their earnings comes from Asians, who purchase their products either domestically or overseas. However, the past few years have been difficult for luxury brands and Richemont has not been immune, as consumption in places such as Hong Kong and Macau drastically declined. However, we believe Richemont can look beyond this current rough patch and grow over time, as wealth creation continues in Asia and other emerging markets.

Outlook:

The post-Brexit outlook is as murky as ever and it is uncertain how Brexit will be implemented or even when the procedure will formally begin. There will be a myriad of details to negotiate between the two sides and, it is unlikely to be a clear-cut exit. As news come out along the way, we expect no less of a roller-coaster ride for the foreseeable future.

What do value investors do in such uncertain times? Not any different from past crises—treat it as macro noise and focus on individual company and balance sheet strength, have some dry powder and be ready to invest when compelling value emerges. Therefore, we are not shunning Europe and, quite the opposite as we are more attracted to Asian stocks that get unduly punished due to their exposure to Europe. We believe this crisis, Brexit, will prove no different over the long run as outperformance will come from buying or adding to undervalued quality companies whose share price weakens disproportionately.

 

 

32    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Value Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 75.3%

 

     Shares     Value  
CHINA/HONG KONG: 25.3%   

Shandong Weigao Group Medical Polymer Co., Ltd. H Shares

    164,000        $93,975   

Kweichow Moutai Co., Ltd. A Shares

    2,000        87,712   

CK Hutchison Holdings, Ltd.

    6,500        71,503   

Qualcomm, Inc.

    1,100        58,927   

Clear Media, Ltd.

    51,000        44,577   

Greatview Aseptic Packaging Co., Ltd.

    78,000        37,104   

Fairwood Holdings, Ltd.

    9,000        34,853   

Goldlion Holdings, Ltd.

    91,000        34,158   

Pico Far East Holdings, Ltd.

    112,000        31,680   

Future Bright Holdings, Ltd.

    168,000        16,101   
   

 

 

 

Total China/Hong Kong

  

    510,590   
   

 

 

 
   
SOUTH KOREA: 19.2%   

DGB Financial Group, Inc.

    6,103        46,214   

Kwangju Bank

    5,946        44,980   

MegaMD Co., Ltd.b

    13,292        42,978   

Shinyoung Securities Co., Ltd.

    980        42,540   

Samyung ENC Co., Ltd.

    5,148        39,130   

POSCO Chemtech Co., Ltd.

    4,309        38,946   

Kangnam Jevisco Co., Ltd.

    1,005        30,687   

Kukbo Design Co., Ltd.

    1,633        27,803   

Hyundai Greenfood Co., Ltd.

    1,420        23,035   

Saeron Automotive Corp.

    3,321        22,840   

Binggrae Co., Ltd.

    278        16,395   

Hy-Lok Corp.

    654        12,616   
   

 

 

 

Total South Korea

  

    388,164   
   

 

 

 
   
JAPAN: 9.0%   

YAMADA Consulting Group Co., Ltd.

    2,300        99,458   

Broadleaf Co., Ltd.

    3,500        32,257   

Trancom Co., Ltd.

    400        26,402   

San-A Co., Ltd.

    500        24,674   
   

 

 

 

Total Japan

  

    182,791   
   

 

 

 
   
SINGAPORE: 6.9%   

ARA Asset Management, Ltd.

    47,400        48,621   

Haw Par Corp., Ltd.

    6,800        45,612   

Vicom, Ltd.

    6,000        25,575   

Kulicke & Soffa Industries, Inc.b

    1,600        19,472   
   

 

 

 

Total Singapore

  

    139,280   
   

 

 

 
   
TAIWAN: 4.0%   

P-Duke Technology Co., Ltd.

    21,000        43,939   

Lumax International Corp., Ltd.

    13,000        18,806   

Yung Chi Paint & Varnish Manufacturing Co., Ltd.

    8,000        18,760   
   

 

 

 

Total Taiwan

  

    81,505   
   

 

 

 
   
MALAYSIA: 2.8%   

MPHB Capital BHDb

    125,100        41,442   

Genting BHD

    7,600        15,480   
   

 

 

 

Total Malaysia

  

    56,922   
   

 

 

 
   
     Shares     Value  
UNITED STATES: 2.1%   

News Corp. B Shares

    2,400        $28,008   

Expeditors International of Washington, Inc.

    300        14,712   
   

 

 

 

Total United States

  

    42,720   
   

 

 

 
   
SWITZERLAND: 1.9%   

Cie Financiere Richemont SA

    664        38,867   
   

 

 

 

Total Switzerland

  

    38,867   
   

 

 

 
   
UNITED KINGDOM: 1.8%   

Standard Chartered PLC

    4,750        35,554   
   

 

 

 

Total United Kingdom

  

    35,554   
   

 

 

 
   
ISRAEL: 1.4%   

Taro Pharmaceutical Industries, Ltd.b

    200        29,120   
   

 

 

 

Total Israel

  

    29,120   
   

 

 

 
   
THAILAND: 0.9%   

Premier Marketing Public Co., Ltd.

    65,200        17,378   
   

 

 

 

Total Thailand

  

    17,378   
   

 

 

 
   
TOTAL COMMON EQUITIES        1,522,891   
   

 

 

 

(Cost $1,462,921)

   
   

PREFERRED EQUITIES: 9.9%

  

SOUTH KOREA: 9.9%   

Samsung Electronics Co., Ltd., Pfd.

    91        93,874   

Samsung SDI Co., Ltd., Pfd.

    1,054        56,804   

Hyundai Motor Co., Ltd., 2nd Pfd.

    576        48,377   
   

 

 

 

Total South Korea

  

    199,055   
   

 

 

 
   
TOTAL PREFERRED EQUITIES        199,055   
   

 

 

 

(Cost $201,357)

   
   
TOTAL INVESTMENTS: 85.2%        1,721,946   

(Cost $1,664,278c)

  

   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 14.8%
        299,877   
   

 

 

 

NET ASSETS: 100.0%

  

    $2,021,823   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $1,667,883 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $131,812   

Gross unrealized depreciation

    (77,749
 

 

 

 

Net unrealized appreciation

    $54,063   
 

 

 

 

 

BHD Berhad

 

Pfd. Preferred

See accompanying notes to financial statements.

 

 

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Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Kenneth Lowe, CFA  

Lead Manager

   
Michael J. Oh, CFA     Sharat Shroff, CFA

Co-Manager

  Co-Manager  
FUND FACTS
    Investor   Institutional

Ticker

  MAFSX   MIFSX

CUSIP

  577125701   577125800

Inception

  4/30/13   4/30/13

NAV

  $9.27   $9.29

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  2.07%   1.91%

After Fee Waiver and Reimbursement2

  1.50%   1.25%

Portfolio Statistics

Total # of Positions

  32

Net Assets

  $10.8 million

Weighted Average Market Cap

  $44.5 billion

Portfolio Turnover3

  23.60%

Benchmark

MSCI AC Asia ex Japan Index

OBJECTIVE

 

 

Long term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Asia excluding Japan, but including all other developed, emerging and frontier countries and markets in the Asian region. The Fund is currently expected to hold stocks of between 25 and 35 companies under normal market conditions.

Matthews Asia Focus Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Asia Focus Fund returned 6.68% (Investor Class) and 6.91% (Institutional Class), outperforming its benchmark, the MSCI All Country Asia ex Japan Index, which returned 2.32%. For the quarter ending June 30, the Fund returned 0.65% (Investor Class) and 0.87% (Institutional Class) while its benchmark returned 0.51%.

Market Environment:

The end outcome of largely flat returns for equity markets during the second quarter belies an environment that has been marked by large swings in sentiment from market participants as economic and political headlines dominate. The largest of these was Brexit, the much talked about U.K. vote to leave the European Union, which occurred toward the end of the quarter, and came as a shock to markets across the globe.

Over the medium term, it is unclear what implications this might have for the European Union as weak growth, high unemployment (in many cases), immigration concerns and deflationary issues have created an atmosphere in which change is deemed to be required. At a minimum, this environment led to a decrease in expectations for any rise in U.S. interest rates this year. Although initially fear was prevalent, this ultimately helped to bolster an improvement in sentiment for risky asset classes such as emerging markets and the Asia Pacific region.

Performance Contributors and Detractors:

The Fund rose in both absolute and relative terms during the first half of the year, amid this volatility. During the second quarter, the largest contributor to returns came from our holding in Tata Motors, India’s largest automotive company, producing Tata and Jaguar Land Rover (JLR) branded vehicles. The company is currently benefiting from a very strong product cycle that includes an initial foray into the lucrative compact luxury sports sedan market with the Jaguar XE. Further, management has invested wisely in the necessary capacity growth for the volume increase that is expected over the next few years. AIA Group was also a solid performer as it continued to deliver on strong growth in their value of new business as premiums and margins both rose, partially on a significant uplift in mainland visitor business in Hong Kong.

The Fund was also helped by good performance from our health care holdings. Among them is ResMed, a leader in the diagnosis and treatment of sleep apnea disorder. The stock rallied as the firm continues to win market share and see strong sales growth in its new platform—the AS10—with its strategic position also being enhanced through the acquisition of clinical software applications provider Brightree.

The largest detractors to returns came from our holdings in luggage manufacturer Samsonite International and Hong Kong conglomerate CK Hutchison Holdings. For Samsonite, soft travel demand and an expensive acquisition of the Tumi brand weighed on the stock. CK Hutchison was pressured by concerns on its U.K. assets as the European regulator defeated its move to consolidate the wireless market there on competition concerns.

(continued)

 
1 Prospectus expense ratios.
2 Matthews has contractually agreed (i) to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 1.25% first by waiving class specific expenses (i.e., shareholder service fees specific to a particular class) of the Institutional Class and then, to the extent necessary, by waiving non-class specific expenses of the Institutional Class, and (ii) if any Fund-wide expenses (i.e., expenses that apply to both the Institutional Class and the Investor Class) are waived for the Institutional Class to maintain the 1.25% expense limitation, to waive an equal amount (in annual percentage terms) of those same expenses for the Investor Class. The Total Annual Fund Operating Expenses After Fee Waiver and Expense Reimbursement for the Investor Class may vary from year to year and will in some years exceed 1.25%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.
3 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

34    MATTHEWS ASIA FUNDS


Table of Contents
             
PERFORMANCE AS OF JUNE 30, 2016                                          
 

 

           

 

      

 

     Average Annual
Total  Returns
        
     3 Months      YTD      1 Year      3 Years     

Since

Inception

     Inception
Date
 
Investor Class (MAFSX)      0.65%         6.68%         -5.35%         0.65%         -1.50%         4/30/13   
Institutional Class (MIFSX)      0.87%         6.91%         -5.03%         0.94%         -1.23%         4/30/13   
MSCI AC Asia ex Japan Index4      0.51%         2.32%         -11.72%         2.36%         -0.03%      
Lipper Pacific ex Japan Funds Category Average5      1.49%         2.44%         -7.73%         2.81%         -0.09%      

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted monthly. The performance data does not reflect the deduction of taxes that a shareholder would pay on dividends, capital gain distributions or redemption of Fund shares. Values are in US$.

 

  4 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

 

       
TOP TEN HOLDINGS6                     
     Sector      Country      % of Net Assets  
AIA Group, Ltd.    Financials      China/Hong Kong        6.0%   
Singapore Telecommunications, Ltd.    Telecommunication Services      Singapore        4.8%   
Techtronic Industries Co., Ltd.    Consumer Discretionary      China/Hong Kong        4.1%   
Tencent Holdings, Ltd.    Information Technology      China/Hong Kong        3.8%   
Mead Johnson Nutrition Co.    Consumer Staples      United States        3.7%   
Taiwan Semiconductor Manufacturing Co., Ltd.    Information Technology      Taiwan        3.7%   
ResMed, Inc.    Health Care      United States        3.6%   
Japan Tobacco, Inc.    Consumer Staples      Japan        3.3%   
Jardine Matheson Holdings, Ltd.    Industrials      China/Hong Kong        3.3%   
Samsung Electronics Co., Ltd.    Information Technology      South Korea        3.2%   
% OF ASSETS IN TOP TEN                39.5%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

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Table of Contents
 
COUNTRY ALLOCATION (%)7,8  
China/Hong Kong     36.1   
Singapore     10.8   
South Korea     9.4   
Malaysia     8.8   
United States     7.3   
Thailand     4.5   
Indonesia     4.4   
Taiwan     3.7   
Japan     3.3   
India     3.2   
Australia     2.6   
Switzerland     2.6   
Cash and Other Assets, Less Liabilities     3.3   

 

 
SECTOR ALLOCATION (%)8  
Consumer Discretionary     25.1   
Financials     22.4   
Information Technology     15.5   
Consumer Staples     11.4   
Industrials     9.7   
Telecommunication Services     9.0   
Health Care     3.6   
Cash and Other Assets, Less Liabilities     3.3   

 

 
MARKET CAP EXPOSURE (%)8  
Mega Cap (over $25B)     41.2   
Large Cap ($10B–$25B)     19.5   
Mid Cap ($3B–10B)     30.0   
Small Cap (under $3B)     6.0   
Cash and Other Assets, Less Liabilities     3.3   

 

7 Not all countries where the Fund may invest are included in the benchmark index.

 

8 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

Matthews Asia Focus Fund

Portfolio Manager Commentary  (unaudited) (continued)

 

Notable Portfolio Changes:

During the second quarter we initiated a position in Coway, a leading South Korean home appliance rental company for air purifiers, water purifiers and other products. Coway has a large and growing loyal customer base in South Korea that provides the company with stable cash flow and cross-selling opportunities. Coway’s valuation is supported by its steady earnings growth, attractive cash flow return and additional growth opportunities from overseas markets.

We exited our position in Australian glove maker Ansell Limited during the quarter. We were disappointed by the performance of its acquisitions and the change in its marketing strategy with some large customers, which prioritizes market share over pricing discipline.

Outlook:

The Brexit result has provided a question mark over the efficacy of the European construct, and an ensuing heavy political calendar in the continent adds further risks. Later this year witnesses a referendum in Italy on constitutional reform that would reduce the number of senators in the country and, hopefully, allow for more stable leadership with improved longevity. Of course, a change to the status quo does create uncertainty and this is also, prospectively, the case for France where elections will be held in early 2017. These risks are further compounded by the U.S. presidential election in November. With this in mind, there does appear to be an overarching movement toward change. Many electorates are clamoring for more protectionist and populist policies in a world where income inequality and immigration concerns have become paramount.

This backdrop does little to encourage risk-taking for either consumers or companies. It does, however, provide Asian governments and central banks with a greater ability to loosen monetary and fiscal policy given weak growth. Such moves are likely across the board, from debt-ridden China to job growth-challenged India. Whilst not wholly averse to this, it does provide the challenge that it removes the focus from what we believe to be the most powerful driver of economic growth and future prosperity—productivity gains. Further, the anti-globalization mentality pervading in parts of the West provides an additional headache.

Undoubtedly some of these issues have led higher growth companies to be hard to come by, and the valuations that one is being asked to pay for these within Asia is concerning. We believe that we must strike the correct balance between quality, value and sustainable growth, making sure that we do not forego value or quality for short-term results. To this end, we will remain patient to take advantage of this backdrop of volatility to ensure that we stay disciplined in looking after our shareholders capital, focusing on protecting and growing it over full economic cycles.

 

 

36    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Focus Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 96.7%

 

     Shares     Value  
CHINA/HONG KONG: 36.1%    

AIA Group, Ltd.

    109,000        $655,496   

Techtronic Industries Co., Ltd.

    105,500        440,568   

Tencent Holdings, Ltd.

    17,900        410,620   

Jardine Matheson Holdings, Ltd.

    6,200        362,472   

CK Hutchison Holdings, Ltd.

    31,728        349,023   

Samsonite International SA

    118,800        328,941   

Yum! Brands, Inc.

    3,850        319,242   

VTech Holdings, Ltd.

    30,000        316,273   

HSBC Holdings PLC

    41,600        254,772   

Baidu, Inc. ADRb

    1,237        204,291   

Hang Lung Group, Ltd.

    50,000        150,641   

Cheung Kong Property Holdings, Ltd.

    19,728        124,299   
   

 

 

 

Total China/Hong Kong

      3,916,638   
   

 

 

 
   
SINGAPORE: 10.8%                

Singapore Telecommunications, Ltd.

    168,000        518,888   

Singapore Technologies Engineering, Ltd.

    144,500        340,137   

United Overseas Bank, Ltd.

    22,500        310,004   
   

 

 

 

Total Singapore

      1,169,029   
   

 

 

 
   
SOUTH KOREA: 9.4%                

Samsung Electronics Co., Ltd.

    281        349,944   

Kangwon Land, Inc.

    9,458        343,184   

Coway Co., Ltd.

    3,591        326,970   
   

 

 

 

Total South Korea

      1,020,098   
   

 

 

 
   
MALAYSIA: 8.8%                

Genting Malaysia BHD

    307,400        339,882   

Heineken Malaysia BHD

    88,800        333,164   

Axiata Group BHD

    199,100        278,663   
   

 

 

 

Total Malaysia

      951,709   
   

 

 

 
   
UNITED STATES: 7.3%                

Mead Johnson Nutrition Co.

    4,468        405,471   

ResMed, Inc.

    6,100        385,703   
   

 

 

 

Total United States

      791,174   
   

 

 

 
   
THAILAND: 4.5%                

Kasikornbank Public Co., Ltd.

    61,900        300,584   

Intouch Holdings Public Co., Ltd. NVDR

    118,200        182,958   
   

 

 

 

Total Thailand

      483,542   
   

 

 

 
   
INDONESIA: 4.4%                

PT Bank Rakyat Indonesia Persero

    421,400        346,741   

PT Indofood Sukses Makmur

    245,000        134,804   
   

 

 

 

Total Indonesia

      481,545   
   

 

 

 
   
TAIWAN: 3.7%                

Taiwan Semiconductor Manufacturing Co., Ltd.

    79,000        398,136   
   

 

 

 

Total Taiwan

      398,136   
   

 

 

 
   
JAPAN: 3.3%                

Japan Tobacco, Inc.

    9,000        362,720   
   

 

 

 

Total Japan

      362,720   
   

 

 

 
     Shares     Value  
INDIA: 3.2%    

Tata Motors, Ltd.b

    50,602        $346,411   
   

 

 

 

Total India

      346,411   
   

 

 

 
   
AUSTRALIA: 2.6%                

Insurance Australia Group, Ltd.

    68,701        282,998   
   

 

 

 

Total Australia

      282,998   
   

 

 

 
   
SWITZERLAND: 2.6%                

Cie Financiere Richemont SA

    4,793        280,557   
   

 

 

 

Total Switzerland

      280,557   
   

 

 

 
   
TOTAL INVESTMENTS: 96.7%             10,484,557   

(Cost $11,101,912c)

   
   

CASH AND OTHER ASSETS,

LESS LIABILITIES: 3.3%

      360,058   
   

 

 

 

NET ASSETS: 100.0%

      $10,844,615   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $11,158,593 and net unrealized depreciation consists of:

 

Gross unrealized appreciation

    $616,215   

Gross unrealized depreciation

    (1,290,251
 

 

 

 

Net unrealized depreciation

    ($674,036
 

 

 

 

 

ADR American Depositary Receipt

 

BHD Berhad

 

NVDR Non-voting Depositary Receipt

See accompanying notes to financial statements.

 

 

matthewsasia.com  |  800.789.ASIA      37   


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Taizo Ishida  

Lead Manager

 
Sharat Shroff, CFA  

Co-Manager

 
FUND FACTS
    Investor   Institutional

Ticker

  MPACX   MIAPX

CUSIP

  577130867   577130776

Inception

  10/31/03   10/29/10

NAV

  $21.86   $22.03

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.11%   0.91%

Portfolio Statistics

   

Total # of Positions

    54

Net Assets

    $681.8 million

Weighted Average Market Cap

  $14.0 billion

Portfolio Turnover2

      29.51%

Benchmark

MSCI AC Asia Pacific Index

OBJECTIVE

 

 

Long-term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Asia. Asia consists of all countries and markets in Asia, and includes developed, emerging and frontier countries and markets in the Asian region. The Fund may also invest in the convertible securities, of any duration or quality, of Asian companies.

Matthews Asia Growth Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Asia Growth Fund returned 3.65% (Investor Class) and 3.72% (Institutional Class) while its benchmark, the MSCI All Country Asia Pacific Index, returned -0.85%. For the quarter ending June 30, 2016, the Fund returned 4.15% (Investor) and 4.21% (Institutional Class), while its benchmark returned 0.77%.

Market Environment:

The market continued to worry about the timing of Fed rate hikes in the early part of the quarter and became increasingly nervous about the potential outcome in the Brexit vote toward the end of the quarter. Interestingly enough, the rise in oil prices to $50 from $35 and a sharp appreciation in the yen to ¥104 from ¥110 were not as meaningful in the minds of investors. As a result, Asian markets were in a holding pattern in the absence of fresh news. Two central bank governors, Hiroki Kuroda of the Bank of Japan and Raghuram Rajan of the Reserve Bank of India, made headline news: Rajan leaving his post in September and Kuroda running out of “magic”, or ammunition to revive the Japanese economy, both verbally and through policy, were both a negative for the market.

Performance Contributors and Detractors:

Although Japan indices were generally flat in the second quarter, seven out of the top 10 contributors to Fund performance were Japanese companies. The top contributor was M3, Inc., an internet website for various medical services in Japan, U.S., U.K. and China. Investors are rewarding the company’s steady earnings growth and favorable growth prospects in its target markets and product offerings. This is one of our top three holdings in the portfolio. Start Today, Japan’s largest fashion apparel e-commerce company, was the second largest contributor with strong earnings results. The company continues to expand its buyer base by tapping into a fashion coordination app called “Wear” and started an alliance with another company’s popular blogsite called “Ameblo.”

On the other hand, five out of the bottom 10 detractors to Fund performance during the quarter were Chinese companies: Baidu was the single largest detractor. Autohome, one of China’s largest auto websites and JD.com, China’s version of Amazon in the U.S., both traded as American Depositary Receipts (ADRs), also dragged on Fund performance. A common thread among these Chinese ADR e-commerce companies is the perception of a slowing Chinese economy, although we would argue that consumption is doing rather well and is the strongest element of the economy. By country, security selection in Japan worked favorably for us during the quarter, and our overweight positions in India and Indonesia also performed well, while security selection in China/HK detracted from performance due mostly to the e-commerce companies mentioned above. By sector, our allocation and stock selection in health care and consumer staples worked well, while investments in information technology hurt performance.

Notable Portfolio Changes:

We initiated a position in Nitori, a Japanese furniture/life style retailer. Nitori is one of the best growth companies in Japan with 29 consecutive years of sales and earnings growth, a rare achievement anywhere. We had not held the company shares in the portfolio previously as the company never met with investors in the past. A new CEO and Japan’s push for better corporate governance changed Nitori’s investor relations policy. We fulfilled our due diligence process requirement by meeting with the company in June.

(continued)

 
1 Prospectus expense ratios.
2 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

38    MATTHEWS ASIA FUNDS


Table of Contents
       
PERFORMANCE AS OF JUNE 30, 2016                       
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Years      5 Years      10 Years      Since
Inception
     Inception
Date
 
Investor Class (MPACX)      4.15%         3.65%         -0.86%         4.13%         5.01%         6.56%         8.81%         10/31/03   
Institutional Class (MIAPX)      4.21%         3.72%         -0.63%         4.35%         5.21%         n.a.         5.24%         10/29/10   
MSCI AC Asia Pacific Index3      0.77%         -0.85%         -9.35%         2.33%         1.91%         2.83%         6.11% 4    
Lipper Pacific Region Funds Category Average5      2.45%         2.49%         -6.50%         2.71%         2.76%         3.65%         6.60% 4    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  3 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  4 Calculated from 10/31/03.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                     
     Sector      Country      % of Net Assets  
M3, Inc.    Health Care      Japan        4.9%   
Sysmex Corp.    Health Care      Japan        4.5%   
Emami, Ltd.    Consumer Staples      India        3.7%   
PT Astra International    Consumer Discretionary      Indonesia        3.6%   
PT Bank Rakyat Indonesia Persero    Financials      Indonesia        3.6%   
Kakaku.com, Inc.    Information Technology      Japan        3.4%   
Shenzhou International Group Holdings, Ltd.    Consumer Discretionary      China/Hong Kong        3.4%   
Baidu, Inc.    Information Technology      China/Hong Kong        3.4%   
ORIX Corp.    Financials      Japan        3.1%   
HDFC Bank, Ltd.    Financials      India        2.8%   
% OF ASSETS IN TOP TEN                36.4%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

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Table of Contents
 
COUNTRY ALLOCATION (%)7,8  
Japan     41.7   
Indonesia     12.4   
India     11.9   
China/Hong Kong     10.8   
Philippines     5.3   
Australia     4.1   
Sri Lanka     2.8   
Vietnam     2.0   
Bangladesh     1.9   
South Korea     1.1   
Pakistan     1.1   
Thailand     1.1   
Taiwan     0.9   
Malaysia     0.9   
Cash and Other Assets, Less Liabilities     2.0   

 

 
SECTOR ALLOCATION (%)8  
Consumer Staples     21.0   
Health Care     20.6   
Consumer Discretionary     19.2   
Financials     15.4   
Industrials     10.5   
Information Technology     7.9   
Energy     1.8   
Materials     1.6   
Cash and Other Assets, Less Liabilities     2.0   

 

 
MARKET CAP EXPOSURE (%)8  
Mega Cap (over $25B)     14.8   
Large Cap ($10B–$25B)     27.8   
Mid Cap ($3B–10B)     30.5   
Small Cap (under $3B)     24.8   
Cash and Other Assets, Less Liabilities     2.0   

 

7 Not all countries where the Fund may invest are included in the benchmark index.

 

8 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

Matthews Asia Growth Fund

Portfolio Manager Commentary  (unaudited) (continued)

 

Outlook:

Our recent trip to India was enlightening, and we believe the country has a fair chance of performing better than expectations. Amidst the skeptical views, we think the Modi government is making efforts towards much-needed reform and infrastructure investment. Granted that large-cap growth companies are fairly valued in a slower earnings growth environment, we believe that good stock selection from smaller cap companies may prove to be fruitful. India has one of the deepest and most diverse stock markets in terms of the number of listed companies (about 5,000). We also like Indonesia for a series of reforms President Jakowi has completed, including the tax amnesty scheme to bring back “hidden” offshore money for better use in various domestic investment projects. On the other hand, our concern is that earnings of the leading Japanese exporters may slow if the current strong yen continues. Fortunately or unfortunately, as the yen is regarded as a safe haven for global investors, a more prolonged impact on earnings may persist unless we see a meaningful pickup in the global economy soon.

 

 

40    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Growth Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 98.0%

 

     Shares     Value  
JAPAN: 41.7%    

M3, Inc.

    966,900        $33,744,795   

Sysmex Corp.

    445,100        30,648,907   

Kakaku.com, Inc.

    1,183,400        23,513,785   

ORIX Corp.

    1,647,100        21,314,242   

Start Today Co., Ltd.

    336,600        17,792,230   

Pigeon Corp.

    544,900        16,289,493   

Nidec Corp.

    178,600        13,595,572   

Glory, Ltd.

    480,100        13,063,314   

CYBERDYNE, Inc.b

    577,600        13,019,335   

Benefit One, Inc.

    433,800        12,989,524   

Ariake Japan Co., Ltd.

    201,700        12,008,390   

Rinnai Corp.

    132,100        11,672,757   

Calbee, Inc.

    263,500        11,023,770   

Nitto Denko Corp.

    171,400        10,872,623   

Komatsu, Ltd.

    559,800        9,724,665   

TechnoPro Holdings, Inc.

    257,800        8,027,473   

Daiken Medical Co., Ltd.

    911,500        6,932,742   

Seven & I Holdings Co., Ltd.

    165,200        6,926,524   

Nitori Holdings Co., Ltd.

    52,400        6,355,286   

FANUC Corp.

    29,600        4,815,128   
   

 

 

 

Total Japan

      284,330,555   
   

 

 

 
   
INDONESIA: 12.4%                

PT Astra International

    43,107,700        24,302,476   

PT Bank Rakyat Indonesia Persero

    29,535,100        24,302,430   

PT Indofood CBP Sukses Makmur

    11,787,000        15,495,313   

PT Ace Hardware Indonesia

    191,978,200        13,494,088   

PT Arwana Citramulia

    145,017,700        6,717,581   
   

 

 

 

Total Indonesia

      84,311,888   
   

 

 

 
   
INDIA: 11.9%                

Emami, Ltd.

    1,551,001        25,353,134   

HDFC Bank, Ltd.

    1,102,893        19,283,686   

ITC, Ltd.

    2,970,516        16,263,249   

Lupin, Ltd.

    635,783        14,545,036   

Sun Pharmaceutical Industries, Ltd.

    516,143        5,852,226   
   

 

 

 

Total India

      81,297,331   
   

 

 

 
   
CHINA/HONG KONG: 10.8%                

Shenzhou International Group Holdings, Ltd.

    4,792,000        23,172,515   

Baidu, Inc. ADRb

    139,000        22,955,850   

China Lodging Group, Ltd. ADS

    245,900        8,958,137   

JD.com, Inc. ADRb

    288,700        6,129,101   

Autohome, Inc. ADRb

    202,400        4,070,264   

Alibaba Group Holding, Ltd. ADRb

    45,100        3,586,803   

Shanghai Haohai Biological Technology Co., Ltd. H Shares

    734,500        3,421,853   

Luk Fook Holdings International, Ltd.

    551,000        1,218,017   
   

 

 

 

Total China/Hong Kong

      73,512,540   
   

 

 

 
   
PHILIPPINES: 5.3%                

Vista Land & Lifescapes, Inc.

    117,224,100        13,381,417   

Jollibee Foods Corp.

    2,007,890        10,355,279   

Universal Robina Corp.

    1,483,980        6,581,758   

Emperador, Inc.

    37,942,500        5,836,458   
   

 

 

 

Total Philippines

      36,154,912   
   

 

 

 
   
     Shares     Value  
AUSTRALIA: 4.1%    

CSL, Ltd.

    181,525        $15,308,490   

Oil Search, Ltd.

    2,481,915        12,532,611   
   

 

 

 

Total Australia

      27,841,101   
   

 

 

 
   
SRI LANKA: 2.8%                

Sampath Bank PLC

    8,111,192        12,718,862   

Lanka Orix Leasing Co. PLCb

    12,121,473        6,510,212   
   

 

 

 

Total Sri Lanka

      19,229,074   
   

 

 

 
   
VIETNAM: 2.0%                

Vietnam Dairy Products JSC

    2,164,300        13,688,996   
   

 

 

 

Total Vietnam

      13,688,996   
   

 

 

 
   
BANGLADESH: 1.9%                

Square Pharmaceuticals, Ltd.

    3,736,958        12,679,036   
   

 

 

 

Total Bangladesh

      12,679,036   
   

 

 

 
   
SOUTH KOREA: 1.1%                

Orion Corp.

    9,402        7,717,395   
   

 

 

 

Total South Korea

      7,717,395   
   

 

 

 
   
PAKISTAN: 1.1%                

Habib Bank, Ltd.

    4,001,000        7,561,765   
   

 

 

 

Total Pakistan

      7,561,765   
   

 

 

 
   
THAILAND: 1.1%                

Major Cineplex Group Public Co., Ltd.

    7,714,400        7,266,624   
   

 

 

 

Total Thailand

      7,266,624   
   

 

 

 
   
TAIWAN: 0.9%                

St. Shine Optical Co., Ltd.

    173,000        3,909,475   

Sinmag Equipment Corp.

    691,674        2,303,303   
   

 

 

 

Total Taiwan

      6,212,778   
   

 

 

 
   
MALAYSIA: 0.9%                

7-Eleven Malaysia Holdings BHD

    17,944,600        6,038,837   
   

 

 

 

Total Malaysia

      6,038,837   
   

 

 

 
   
TOTAL INVESTMENTS: 98.0%        667,842,832   

(Cost $514,779,514c)

   
   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 2.0%
      13,957,879   
   

 

 

 

NET ASSETS: 100.0%

      $681,800,711   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $514,779,514 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $189,223,311   

Gross unrealized depreciation

    (36,159,993
 

 

 

 

Net unrealized appreciation

    $153,063,318   
 

 

 

 

 

ADR American Depositary Receipt

 

ADS American Depositary Share

 

BHD Berhad

 

JSC Joint Stock Co.

See accompanying notes to financial statements.

 

 

matthewsasia.com  |  800.789.ASIA      41   


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Sharat Shroff, CFA    

Lead Manager

   
Rahul Gupta    

Co-Manager

   
FUND FACTS        
    Investor   Institutional

Ticker

  MAPTX   MIPTX

CUSIP

  577130107   577130834

Inception

  9/12/94   10/29/10

NAV

  $24.49   $24.49

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.09%   0.91%

After Fee Waiver and Reimbursement2

  1.07%   0.89%

Portfolio Statistics

 

Total # of Positions

  64

Net Assets

  $7.0 billion

Weighted Average Market Cap

  $31.9 billion

Portfolio Turnover3

      12.56%

Benchmark

MSCI AC Asia ex Japan Index

OBJECTIVE

 

 

Long-term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Asia ex Japan, which consists of all countries and markets in Asia excluding Japan, but including all other developed, emerging and frontier countries and markets in the Asian region.

Matthews Pacific Tiger Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Pacific Tiger Fund returned 4.04% (Investor Class) and 4.12% (Institutional Class) while its benchmark, the MSCI All Country Asia ex Japan Index, returned 2.32%. For the quarter ending June 30, the Fund returned 3.82% (Investor) and 3.86% (Institutional Class) while its benchmark returned 0.51%.

Market Environment:

Since the start of the year, capital markets in Asia have battled concerns ranging from capital outflows from China and the impact of a rising U.S. dollar on Asian economies, to the more recent political developments in the U.K. and Europe. Following a rocky start, a partial recovery in Asian equities was led by large-cap stocks primarily in countries like Taiwan and South Korea. However, the potential negative impact from Brexit on global trade and financing flows may continue to weigh on the Asian region in the near term.

In spite of the variety of challenges during the first six months of the year Asia markets finished the period modestly higher, although that masks a wide divergence between country specific indices. Cyclical stocks bounced in a reflex rally toward the end of the first quarter, but then weakened again in the second quarter. Domestic mainland markets in China experienced the sharpest declines, while Thailand was one of the better performers.

Performance Contributors and Detractors:

Divergences across Asia markets continued in the second quarter, with well-capitalized, well-run businesses outperforming during the period. Consequently, stock selection was a key contributor to performance in the second quarter as reflected in our allocation to good, quality companies, including Central Pattana, a well-capitalized mall operator in Thailand and the best performer during the quarter. Central Pattana continues to deliver strong performance on the back of its solid business model. Genting, a gaming company in Malaysia, outperformed in the first quarter, although that reversed somewhat in the second quarter as earnings were soft given weakness in the gaming environment. Baidu, the leading search engine in China, was the largest detractor from performance in the second quarter, as it came under regulatory scrutiny due to issues in their health care business. Cleanup of this part of this business has affected near-term earnings, hence weakness in their stock price. Baidu has been in this predicament before but has shown they can clean up and improve their systems and sales processes. We expect a similar outcome in due course of time.

By country, India and South Korea were positive contributors to performance in the second quarter, largely reflecting a technical rebound following weakness seen in the first quarter.

Notable Portfolio Changes:

We continue to take advantage of volatility in markets by rotating capital away from our investments where valuations have become expensive to businesses that are more reasonably priced. In aggregate, this has resulted in shifting some of our allocation away from South Korea into China. In addition, we have deployed capital in India following weakness in specific stocks which we have been following.

(continued)

 
1 Prospectus expense ratios.
2 Matthews has contractually agreed to waive a portion of its advisory fee and administrative and shareholder services fee if the Fund’s average daily net assets are over $3 billion, as follows: for every $2.5 billion average daily net assets of the Fund that are over $3 billion, the advisory fee rate and the administrative and shareholder services fee rate for the Fund with respect to such excess average daily net assets will be each reduced by 0.01%, in each case without reducing such fee rate below 0.00%. Any amount waived by Matthews pursuant to this agreement may not be recouped by Matthews. This agreement will remain in place until April 30, 2017 and may be terminated at any time (i) by the Trust on behalf of the Fund or by the Board of Trustees upon 60 days’ prior written notice to Matthews; or (ii) by Matthews upon 60 days’ prior written notice to the Trust, in each case without payment of any penalty.
3 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

42    MATTHEWS ASIA FUNDS


Table of Contents
 
PERFORMANCE AS OF JUNE 30, 2016  
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Years      5 Years      10 Years      Since
Inception
     Inception
Date
 
Investor Class (MAPTX)      3.82%         4.04%         -5.04%         6.57%         4.34%         9.19%         8.51%         9/12/94   
Institutional Class (MIPTX)      3.86%         4.12%         -4.85%         6.77%         4.51%         n.a.         4.68%         10/29/10   
MSCI AC Asia ex Japan Index4      0.51%         2.32%         -11.72%         2.36%         0.34%         5.92%         3.53% 5    
Lipper Pacific ex Japan Funds Category Average6      1.49%         2.44%         -7.73%         2.81%         0.84%         5.79%         4.46% 5    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  4 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  5 Calculated from 8/31/94.

 

  6 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS7                     
     Sector      Country      % of Net Assets  
Central Pattana Public Co., Ltd.    Financials      Thailand        3.2%   
Kotak Mahindra Bank, Ltd.    Financials      India        2.7%   
Dongbu Insurance Co., Ltd.    Financials      South Korea        2.7%   
Naver Corp.    Information Technology      South Korea        2.7%   
Baidu, Inc. ADR    Information Technology      China/Hong Kong        2.7%   
Tata Power Co., Ltd.    Utilities      India        2.6%   
DKSH Holding, Ltd.    Industrials      Switzerland        2.6%   
Sinopharm Group Co., Ltd.    Health Care      China/Hong Kong        2.5%   
Vietnam Dairy Products JSC    Consumer Staples      Vietnam        2.5%   
President Chain Store Corp.    Consumer Staples      Taiwan        2.4%   
% OF ASSETS IN TOP TEN                26.6%   

 

  7 Holdings may combine more than one security from same issuer and related depositary receipts.

 

matthewsasia.com  |  800.789.ASIA      43   


Table of Contents
 
COUNTRY ALLOCATION (%)8,9  
China/Hong Kong     28.9   
India     20.0   
South Korea     15.0   
Indonesia     6.7   
Taiwan     6.1   
Thailand     5.6   
Malaysia     3.9   
Philippines     3.1   
Switzerland     2.6   
Vietnam     2.5   
United States     1.2   
Singapore     0.2   
Cash and Other Assets, Less Liabilities     4.2   

 

 
SECTOR ALLOCATION (%)9  
Financials     25.4   
Consumer Staples     20.5   
Information Technology     17.2   
Health Care     8.5   
Consumer Discretionary     8.1   
Utilities     5.4   
Industrials     5.1   
Telecommunication Services     4.1   
Materials     1.5   
Cash and Other Assets, Less Liabilities     4.2   

 

 

MARKET CAP EXPOSURE (%)9

 
Mega Cap (over $25B)     25.5   
Large Cap ($10B–$25B)     25.9   
Mid Cap ($3B–10B)     35.6   
Small Cap (under $3B)     8.8   
Cash and Other Assets, Less Liabilities     4.2   

 

8 Not all countries where the Fund may invest are included in the benchmark index.

 

9 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

Matthews Pacific Tiger Fund

Portfolio Manager Commentary  (unaudited) (continued)

 

Outlook:

For a change, the Asian region, more specifically the Chinese economy, is not driving the rise in global economic uncertainty. While the next steps and the fallout from Britain’s decision to leave the European Union remain uncertain, the outlook for domestic demand in Asia is much more easily understood. For the past two to three years, consumption has supported domestic demand, while investment activity has been grinding lower across many parts of Asia. However, it is also worth noting that in countries like Thailand and Malaysia, household debt has continued to expand in the past few years, and the tepid outlook for income growth suggests consumption growth may not be as supportive as in the recent past. Yet there are other countries such as India, Indonesia, and the Philippines where the outlook for income growth and household debt is not overly constraining to continued growth in private consumption.

That being said, policymakers and central bankers realize the need to boost investment growth, which has led to vigorous rate cuts in economies like Indonesia and hopes for greater fiscal support in other countries like India. The purest driver of investment activity is, however, continued emphasis on structural reforms to boost productivity and ease the cost of doing business in any given country. In this regard, progress has been slow and uneven, whether it is reform for state-owned enterprises (SOE) in China or easing land and labor regulations in India and Indonesia. Nonetheless, these are issues that are well defined and are being gradually addressed. We believe there is an opportunity for Asian businesses and policymakers to clearly set themselves apart from the uncertainty that might impact economic activity globally.

 

 

44    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Pacific Tiger Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 95.7%

 

     Shares     Value  
CHINA/HONG KONG: 28.9%   

Baidu, Inc. ADRb

    1,131,800        $186,916,770   

Sinopharm Group Co., Ltd. H Shares

    36,984,400        177,661,557   

Hengan International Group Co., Ltd.

    16,483,500        138,061,439   

China Mobile, Ltd. ADR

    2,380,026        137,803,505   

Ping An Insurance Group Co. of China, Ltd. H Shares

    30,743,000        136,212,247   

Tencent Holdings, Ltd.

    5,886,500        135,034,387   

AIA Group, Ltd.

    20,140,800        121,121,233   

China Resources Land, Ltd.

    47,814,000        112,671,271   

China Resources Beer Holdings Co., Ltd.

    50,502,000        110,384,453   

Dairy Farm International Holdings, Ltd.

    15,454,946        104,329,695   

Alibaba Group Holding, Ltd. ADRb

    1,291,700        102,728,901   

Yum! Brands, Inc.

    1,174,410        97,382,077   

Lenovo Group, Ltd.

    147,394,000        89,591,124   

Fuyao Glass Industry Group Co., Ltd. H Shares†

    34,836,000        81,071,770   

Inner Mongolia Yili Industrial Group Co., Ltd. A Shares

    32,078,874        80,364,576   

Hong Kong Exchanges and Clearing, Ltd.

    2,603,000        63,423,571   

Tasly Pharmaceutical Group Co., Ltd. A Shares

    10,220,127        55,025,483   

Hang Lung Group, Ltd.

    12,815,000        38,609,241   

Swire Pacific, Ltd. A Share Class

    2,813,000        31,790,373   

China Vanke Co., Ltd. H Shares

    8,305,504        16,401,804   

Qinqin Foodstuffs Group Cayman Co., Ltd.b,c

    3,296,700        4,674,302   
   

 

 

 

Total China/Hong Kong

  

    2,021,259,779   
   

 

 

 
   
INDIA: 20.0%   

Kotak Mahindra Bank, Ltd.

    16,873,409        191,387,614   

Tata Power Co., Ltd.†

    165,620,436        180,343,321   

Titan Co., Ltd.

    24,797,915        149,562,223   

Sun Pharmaceutical Industries, Ltd.

    12,078,258        136,947,885   

GAIL India, Ltd.

    22,282,108        127,515,997   

Container Corp. of India, Ltd.

    5,471,996        116,225,924   

HDFC Bank, Ltd.

    6,223,409        108,814,059   

ITC, Ltd.

    18,735,000        102,572,067   

Dabur India, Ltd.

    21,117,482        96,730,442   

Housing Development Finance Corp., Ltd.

    4,935,685        91,954,500   

Thermax, Ltd.

    5,310,034        64,991,957   

Just Dial, Ltd.

    3,057,718        27,779,841   
   

 

 

 

Total India

  

    1,394,825,830   
   

 

 

 
   
SOUTH KOREA: 15.0%   

Dongbu Insurance Co., Ltd.

    3,159,119        190,149,072   

Naver Corp.

    306,817        190,078,071   

Orion Corp.

    203,080        166,693,098   

Amorepacific Corp.

    415,972        156,817,048   

Green Cross Corp.†

    776,872        127,832,970   

Samsung Electronics Co., Ltd.

    101,105        125,911,241   

Cheil Worldwide, Inc.†

    6,154,297        90,836,833   
   

 

 

 

Total South Korea

  

    1,048,318,333   
   

 

 

 
   
     Shares     Value  
INDONESIA: 6.7%   

PT Telekomunikasi Indonesia Persero

    421,304,300        $128,180,055   

PT Indofood CBP Sukses Makmur

    95,761,300        125,888,804   

PT Bank Central Asia

    100,580,000        101,843,074   

PT Perusahaan Gas Negara Persero

    298,485,100        53,222,012   

PT Astra International

    66,745,900        37,628,790   

PT Telekomunikasi Indonesia Persero ADR

    364,070        22,375,742   
   

 

 

 

Total Indonesia

  

    469,138,477   
   

 

 

 
   
TAIWAN: 6.1%   

President Chain Store Corp.

    21,486,608        167,882,525   

Delta Electronics, Inc.

    31,251,182        152,484,597   

Synnex Technology International Corp.†

    98,191,354        106,531,796   
   

 

 

 

Total Taiwan

  

    426,898,918   
   

 

 

 
   
THAILAND: 5.6%   

Central Pattana Public Co., Ltd.

    131,488,800        224,049,663   

The Siam Cement Public Co., Ltd.

    7,522,950        102,202,369   

Kasikornbank Public Co., Ltd.

    13,427,700        65,204,322   

Kasikornbank Public Co., Ltd. NVDR

    150,000        728,393   
   

 

 

 

Total Thailand

  

    392,184,747   
   

 

 

 
   
MALAYSIA: 3.8%   

Genting BHD

    52,881,000        107,713,344   

IHH Healthcare BHD

    47,676,300        78,051,241   

Public Bank BHD

    12,771,594        61,539,385   

IHH Healthcare BHD

    11,543,000        18,851,310   
   

 

 

 

Total Malaysia

  

    266,155,280   
   

 

 

 
   
PHILIPPINES: 3.1%   

GT Capital Holdings, Inc.

    3,897,540        119,817,330   

SM Prime Holdings, Inc.

    164,670,771        96,201,023   
   

 

 

 

Total Philippines

  

    216,018,353   
   

 

 

 
   
SWITZERLAND: 2.6%   

DKSH Holding, Ltd.

    2,738,062        179,364,422   
   

 

 

 

Total Switzerland

  

    179,364,422   
   

 

 

 
   
VIETNAM: 2.5%   

Vietnam Dairy Products JSC

    27,859,837        176,210,878   
   

 

 

 

Total Vietnam

  

    176,210,878   
   

 

 

 
   
UNITED STATES: 1.2%   

Cognizant Technology Solutions Corp. Class Ab

    1,457,600        83,433,024   
   

 

 

 

Total United States

  

    83,433,024   
   

 

 

 
   
SINGAPORE: 0.2%   

Hyflux, Ltd.

    35,190,730        15,765,687   
   

 

 

 

Total Singapore

  

    15,765,687   
   

 

 

 
   
TOTAL COMMON EQUITIES        6,689,573,728   
   

 

 

 

(Cost $5,127,641,481)

   
 

 

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Table of Contents

Matthews Pacific Tiger Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

WARRANTS: 0.1%

 

     Shares     Value  
MALAYSIA: 0.1%   

Genting BHD, expires 12/18/18

    12,253,875        $4,680,880   
   

 

 

 

Total Malaysia

  

    4,680,880   
   

 

 

 
   
TOTAL WARRANTS        4,680,880   
   

 

 

 

(Cost $5,593,674)

   
   
TOTAL INVESTMENTS: 95.8%        6,694,254,608   

(Cost $5,133,235,155d)

   
   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 4.2%
        290,311,721   
   

 

 

 

NET ASSETS: 100.0%

  

    $6,984,566,329   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Illiquid security, trading was halted at June 30, 2016.

 

d Cost for federal income tax purposes is $5,135,313,671 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $2,054,174,333   

Gross unrealized depreciation

    (495,233,396
 

 

 

 

Net unrealized appreciation

    $1,558,940,937   
 

 

 

 

 

Affiliated Issuer, as defined under the Investment Company Act of 1940 (ownership of 5% or more of the outstanding voting securities of this issuer)

 

ADR American Depositary Receipt

 

BHD Berhad

 

JSC Joint Stock Co.

 

NVDR Non-voting Depositary Receipt

See accompanying notes to financial statements.

    

 

 

46    MATTHEWS ASIA FUNDS


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Vivek Tanneeru  

Lead Manager

 
Winnie Chwang  

Co-Manager

   
FUND FACTS
    Investor   Institutional

Ticker

  MASGX   MISFX

CUSIP

  577130727   577130719

Inception

  4/30/15   4/30/15

NAV

  $9.10   $9.05

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  9.09%   8.90%

After Fee Waiver and Reimbursement2

  1.44%   1.25%

Portfolio Statistics

   

Total # of Positions

  56

Net Assets

  $8.5 million

Weighted Average Market Cap

  $13.0 billion

Portfolio Turnover3

  21.72%

Benchmark

 

MSCI AC Asia ex Japan Index

OBJECTIVE

 

 

Long term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total assets, which include borrowings for investment purposes, in the common and preferred stocks of companies of any market capitalization located in Asia that Matthews believes satisfy one or more of its environmental, social and governance (“ESG”) standards. Asia consists of all countries and markets in Asia and includes developed, emerging, and frontier countries and markets in the Asia region. The Fund may also invest in convertible securities and fixed-income securities, of any duration or quality, including high yield securities of Asian companies.

 

Matthews Asia ESG Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Asia ESG Fund returned -1.41% (Investor Class) and -1.31% (Institutional Class) while its benchmark, the MSCI All Country Asia ex Japan Index, returned 2.32%. For the quarter ending June 30, 2016, the Matthews Asia ESG Fund returned 1.22% (Investor Class) and 1.23% (Institutional Class), while its benchmark, the MSCI All Country Asia ex Japan Index returned 0.51%.

Market Environment:

Volatile market conditions continued in the second quarter of 2016. As in the first quarter, the market saw a correction early on, followed by a strong recovery into the quarter-end, which enabled the MSCI AC Asia ex Japan Index to finish the quarter modestly higher. The shocking “Brexit” referendum result in the U.K. raised further questions about the long-term future of the European Union. The quarter also saw expectations about the pace and scale of a U.S. Federal Reserve rate hiking cycle dialed back significantly.

South East and South Asian equity markets performed well during the quarter (led by the Philippines and Indonesia), with the exception of Malaysia, which was the worst regional performer, in-part led by the Malaysian ringgit depreciation of 3%. North Asian markets such as South Korea also lagged. On the other hand, the Japanese yen appreciated significantly (by 9%) during the quarter given its perceived “safe haven” status.

Performance Contributors and Detractors:

During the second quarter, the portfolio’s overweight allocation in Japan was the biggest positive contributor to returns, while Thailand detracted most from performance due to adverse stock selection. In terms of sectors, consumer staples were the biggest positive contributors, while telecom services detracted the most from performance due to unfavorable security selection.

At the stock level, Japanese elderly daycare company Tsukui was the biggest contributor to Fund performance led by positive operational performance as well as strong guidance for the next fiscal year. Elderly daycare is a cost effective way to provide senior care in Japan compared to in-home care and assisted living, especially in an environment where the Japanese government is reigning in its ballooning health care budget.

iMarketKorea, a Korean procurement services company, was among the biggest detractors. iMarketKorea, counts Samsung Electronics as its largest client. Its guaranteed contract with Samsung expires at the end of 2016, and the market has growing concerns about the outlook for iMarketKorea’s business with Samsung from 2017 onwards. In an effort to reduce its exposure to Samsung, iMarketKorea has been growing its non-Samsung business and has also acquired related distribution businesses. Current valuations lead us to believe that the market has given zero value to iMarketKorea’s business with Samsung. While we recognize that some of that revenue is at risk when the contract between iMarketKorea and Samsung expires, it is unlikely that Samsung will move its procurement services in-house entirely, as it is a non-core, high volume and low value-add business for Samsung.

(continued)

 

 

1 Prospectus expense ratios.
2 Matthews has contractually agreed (i) to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 1.25% first by waiving class specific expenses (i.e., shareholder service fees specific to a particular class) of the Institutional Class and then, to the extent necessary, by waiving non-class specific expenses of the Institutional Class, and (ii) if any Fund-wide expenses (i.e., expenses that apply to both the Institutional Class and the Investor Class) are waived for the Institutional Class to maintain the 1.25% expense limitation, to waive an equal amount (in annual percentage terms) of those same expenses for the Investor Class. The Total Annual Fund Operating Expenses After Fee Waiver and Expense Reimbursement for the Investor Class may vary from year to year and will in some years exceed 1.25%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.
3 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

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Table of Contents
           
PERFORMANCE AS OF JUNE 30, 2016                                   
 

 

    

 

      

 

      

 

     Average Annual
Total Returns
      

 

 
     3 Months      YTD      1 Year     

Since

Inception

     Inception
Date
 
Investor Class (MASGX)      1.22%         -1.41%         -7.12%         -7.42%         4/30/15   
Institutional Class (MISFX)      1.23%         -1.31%         -6.86%         -7.20%         4/30/15   
MSCI AC Asia ex Japan Index4      0.51%         2.32%         -11.72%         -14.88%      
Lipper Pacific Funds Category Average5      2.45%         2.49%         -6.50%         -8.23%      

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted Monthly. The performance data does not reflect the deduction of taxes that a shareholder would pay on dividends, capital gain distributions or redemption of Fund shares. Values are in US$.

 

  4 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                     
     Sector      Country      % of Net Assets  
Taiwan Semiconductor Manufacturing Co., Ltd.    Information Technology      Taiwan        3.2%   
Lupin, Ltd.    Health Care      India        3.0%   
MTR Corp., Ltd.    Industrials      China/Hong Kong        2.9%   
Total Access Communication Public Co., Ltd. NVDR    Telecommunication Services      Thailand        2.7%   
Inner Mongolia Yili Industrial Group Co., Ltd.    Consumer Staples      China/Hong Kong        2.7%   
PT Bank Rakyat Indonesia Persero    Financials      Indonesia        2.7%   
CSPC Pharmaceutical Group, Ltd.    Health Care      China/Hong Kong        2.5%   
Parkway Life REIT    Financials      Singapore        2.4%   
Puregold Price Club, Inc.    Consumer Staples      Philippines        2.4%   
JD.com, Inc.    Consumer Discretionary      China/Hong Kong        2.4%   
% OF ASSETS IN TOP TEN                26.9%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

48    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia ESG Fund

Portfolio Manager Commentary  (unaudited) (continued)

 

Notable Portfolio Changes:

We added Grameenphone, the leading mobile telecom operator in Bangladesh to the portfolio during the quarter. Grameenphone is a joint venture between Telenor of Norway and the Grameen Foundation of Bangladesh. The firm has the largest market share and is the most profitable operator in the country. The Bangladeshi market is one of the few telecom growth markets left in Asia, with a subscriber penetration of only about 50%. The company has embraced an ESG focus and has excellent initiatives in CO2 emission reduction, rain water harvesting and e-waste recycling, or the recycling of electronic products. The company also has strong supply chain sustainability programs that focus on mitigation of supply chain risk, anti-corruption in the supply chain and health, safety, security and environment (HSSE) training. Grameenphone also has built strong community relations by championing online schooling and telemedicine initiatives, among others.

The Fund exited several small positions during the quarter, including those that had become smaller due to profit taking over a period of time.

Outlook:

The end to volatility is not in sight amid an uncertain impact of “Brexit” on the European Union, a soft macroeconomic environment in China and uncertainty surrounding the future of U.S. Federal Reserve rate hikes. But Asian consumers are increasingly focusing on products and services that have a positive environmental and social impact, while Asian governments and regulators are pushing companies to strive for better environmental and governance standards. Such a push provides an encouraging backdrop in which to pursue ESG-focused investing in Asia.

Market dislocations in Asia often present an opportunity to buy high-quality companies with best-in-class ESG attributes at reasonable prices. Therefore, we continue to remain excited about the prospects of identifying and engaging attractive investment opportunities that make a positive environmental, social and economic impact in Asia amid current volatility.

   
COUNTRY ALLOCATION (%)7      
China/Hong Kong     19.2   
India     15.1   
Taiwan     13.0   
Japan     9.1   
South Korea     7.7   
Singapore     4.9   
Philippines     4.7   
Pakistan     3.2   
Thailand     2.7   
Indonesia     2.7   
Luxembourg     2.1   
Sri Lanka     1.8   
Bangladesh     1.8   
Australia     0.7   
Cash and Other Assets, Less Liabilities     11.3   

 

   
SECTOR ALLOCATION (%)8      
Health Care     20.1   
Consumer Discretionary     12.8   
Financials     12.6   
Information Technology     11.4   
Industrials     11.1   
Consumer Staples     7.7   
Telecommunication Services     6.7   
Utilities     5.2   
Materials     1.1   
Cash and Other Assets, Less Liabilities     11.3   

 

   
MARKET CAP EXPOSURE (%)8      
Mega Cap (over $25B)     12.6   
Large Cap ($10B-$25B)     13.1   
Mid Cap ($3B-10B)     14.5   
Small Cap (under $3B)     48.6   
Cash and Other Assets, Less Liabilities     11.3   

 

7 Not all countries are included in the benchmark index.

 

8 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.
 

 

matthewsasia.com  |  800.789.ASIA      49   


Table of Contents

Matthews Asia ESG Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 88.7%

 

     Shares     Value  
CHINA/HONG KONG: 19.2%   

MTR Corp., Ltd.

    49,000        $248,589   

Inner Mongolia Yili Industrial Group Co., Ltd. A Shares

    91,200        228,476   

CSPC Pharmaceutical Group, Ltd.

    240,000        214,431   

JD.com, Inc. ADRb

    9,600        203,808   

AIA Group, Ltd.

    31,000        186,425   

Sino Biopharmaceutical, Ltd.

    175,000        114,857   

Guangdong Investment, Ltd.

    70,000        106,861   

Beijing Urban Construction Design & Development Group Co., Ltd. H Shares

    163,000        88,731   

HKBN, Ltd.

    83,500        88,070   

China Conch Venture Holdings, Ltd.

    44,000        87,496   

Haier Electronics Group Co., Ltd.

    50,000        76,396   
   

 

 

 

Total China/Hong Kong

  

    1,644,140   
   

 

 

 
   
INDIA: 15.1%                

Lupin, Ltd.

    11,376        260,253   

Bharti Infratel, Ltd.

    34,237        175,433   

Ipca Laboratories, Ltd.

    23,560        171,063   

Infosys, Ltd.

    9,468        164,311   

Bata India, Ltd.

    18,523        150,424   

Power Grid Corp. of India, Ltd.

    55,328        133,961   

Bharat Financial Inclusion, Ltd.b

    8,274        91,130   

Sanofi India, Ltd.

    1,292        85,134   

KPIT Technologies, Ltd.

    20,027        54,868   
   

 

 

 

Total India

  

    1,286,577   
   

 

 

 
   
TAIWAN: 13.0%                

Taiwan Semiconductor Manufacturing Co., Ltd.

    54,000        272,144   

Zhen Ding Technology Holding, Ltd.

    64,000        115,813   

Sitronix Technology Corp.

    33,000        108,182   

Phison Electronics Corp.

    11,000        95,344   

CHC Resources Corp.

    53,000        95,328   

KD Holding Corp.

    17,000        94,590   

Merida Industry Co., Ltd.

    21,000        88,914   

Greatek Electronics, Inc.

    74,000        87,223   

Sporton International, Inc.

    15,077        78,129   

Lumax International Corp., Ltd.

    53,000        76,669   
   

 

 

 

Total Taiwan

  

    1,112,336   
   

 

 

 
   
JAPAN: 9.1%                

Tsukui Corp.

    9,600        170,131   

Daikin Industries, Ltd.

    1,800        151,281   

Hoya Corp.

    3,300        117,863   

Nihon Housing Co., Ltd.

    3,400        108,323   

Koito Manufacturing Co., Ltd.

    1,800        82,880   

Nakanishi, Inc.

    2,500        73,597   

Ain Holdings, Inc.

    900        69,810   
   

 

 

 

Total Japan

  

    773,885   
   

 

 

 
   
     Shares     Value  
SOUTH KOREA: 7.7%    

KT Skylife Co., Ltd.

    13,593        $192,171   

DGB Financial Group, Inc.

    18,126        137,256   

Hanon Systems

    13,187        120,687   

iMarketKorea, Inc.

    11,769        119,240   

Samjin Pharmaceutical Co., Ltd.

    2,976        91,883   
   

 

 

 

Total South Korea

  

    661,237   
   

 

 

 
   
SINGAPORE: 4.9%                

Parkway Life REIT

    115,700        208,158   

Raffles Medical Group, Ltd.

    111,900        125,657   

Vicom, Ltd.

    19,400        82,693   
   

 

 

 

Total Singapore

  

    416,508   
   

 

 

 
   
PHILIPPINES: 4.7%                

Puregold Price Club, Inc.

    227,800        204,317   

Energy Development Corp.

    1,706,700        201,432   
   

 

 

 

Total Philippines

  

    405,749   
   

 

 

 
   
PAKISTAN: 3.2%                

Abbott Laboratories Pakistan, Ltd.

    22,300        161,331   

Bank Alfalah, Ltd.

    470,000        114,773   
   

 

 

 

Total Pakistan

  

    276,104   
   

 

 

 
   
THAILAND: 2.7%                

Total Access Communication Public Co., Ltd. NVDR

    251,200        231,188   
   

 

 

 

Total Thailand

  

    231,188   
   

 

 

 
   
INDONESIA: 2.7%                

PT Bank Rakyat Indonesia Persero

    275,700        226,855   
   

 

 

 

Total Indonesia

  

    226,855   
   

 

 

 
   
LUXEMBOURG: 2.1%                

L’Occitane International SA

    85,750        175,639   
   

 

 

 

Total Luxembourg

  

    175,639   
   

 

 

 
   
SRI LANKA: 1.8%                

Nestle Lanka PLC

    9,551        157,380   
   

 

 

 

Total Sri Lanka

  

    157,380   
   

 

 

 
   
BANGLADESH: 1.8%                

GrameenPhone, Ltd.

    25,041        81,377   

Square Pharmaceuticals, Ltd.

    20,853        70,751   
   

 

 

 

Total Bangladesh

  

    152,128   
   

 

 

 
   
AUSTRALIA: 0.7%                

Ansell, Ltd.

    4,505        61,656   
   

 

 

 

Total Australia

  

    61,656   
   

 

 

 
   
TOTAL INVESTMENTS: 88.7%             7,581,382   

(Cost $7,576,334c)

   
   
 

 

50    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia ESG Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

COMMON EQUITIES (continued)

 

            Value  
CASH AND OTHER ASSETS,
LESS LIABILITIES: 11.3%
      $962,411   
   

 

 

 

NET ASSETS: 100.0%

  

    $8,543,793   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $7,590,946 and net unrealized depreciation consists of:

 

Gross unrealized appreciation

    $614,975   

Gross unrealized depreciation

    (624,539
 

 

 

 

Net unrealized depreciation

    ($9,564
 

 

 

 

 

ADR American Depositary Receipt

 

NVDR Non-voting Depositary Receipt

 

REIT Real Estate Investment Trust

See accompanying notes to financial statements.

 

 

matthewsasia.com  |  800.789.ASIA      51   


Table of Contents

LOGO

 

PORTFOLIO MANAGERS*
Taizo Ishida   Robert Harvey, CFA

Lead Manager

  Lead Manager

*   Effective April 29, 2016 Robert Harvey became a Lead Manager of this Fund.

FUND FACTS
    Investor   Institutional

Ticker

  MEASX   MIASX

CUSIP

  577125883   577125875

Inception

  4/30/13   4/30/13

NAV

  $12.47   $12.51

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.75%   1.57%

After Fee Waiver and Reimbursement2

  1.50%   1.25%

Portfolio Statistics

Total # of Positions

  61

Net Assets

  $151.5 million

Weighted Average Market Cap

  $1.7 billion

Portfolio Turnover3

  12.14%

Benchmark

MSCI Emerging Markets Asia Index

Redemption Fee

2% within first 90 calendar days of purchase

OBJECTIVE

 

 

Long term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Asia excluding Japan, South Korea, Hong Kong and Singapore. The Fund may also invest in the convertible securities, of any duration or quality of companies located in Asia excluding Japan, South Korea, Hong Kong and Singapore. Once fully invested and under normal market conditions, the Fund is expected to invest a substantial portion of its net assets in the emerging countries and markets in the Asian region, including, but not limited to, Bangladesh, Cambodia, China (including Taiwan, but excluding Hong Kong), India, Indonesia, Laos, Malaysia, Mongolia, Myanmar, Pakistan, Papua New Guinea, Philippines, Sri Lanka, Thailand, and Vietnam.

Matthews Emerging Asia Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Emerging Asia Fund returned 10.65% (Investor Class) and 10.81% (Institutional Class) while its benchmark, the MSCI Emerging Markets Asia Index, returned 2.42%. For the quarter ending June 30, the Fund returned 11.04% (Investor Class) and 11.10% (Institutional Class) while its benchmark returned 0.44%.

Market Environment:

Equity markets continued to focus on the challenges weighing on global economic growth in the second quarter. Markets also digested the British decision to exit the European Union, initially falling sharply but both emerging and developed markets recovered relatively quickly afterwards. Asian and global emerging market indices spent most of the quarter in negative territory but rose to close the quarter marginally positive. Commodity prices broadly rose during the period—a mixed blessing for Asian emerging markets—but we have seen weakness, especially in the energy sector, which is mostly positive for our economies post quarter.

Performance Contributors and Detractors:

The top markets that contributed to Fund performance in the second quarter were Vietnam, Pakistan and Bangladesh. Vietnam was the largest contributor to performance, driven by Phu Nhuan Jewelry, Vinh Hoan and Mobile World Investment. Investor sentiment toward Vietnam has continued to improve as prospects for strong GDP growth remain intact. The Searle Company in Pakistan was again a strong contributor to Fund performance on expectations of strong earnings growth, as well as new interest in the market following the MSCI’s announcement to reclassify the MSCI Pakistan Index from frontier to emerging markets at next year’s rebalancing.

Among the largest detractors of performance were National Foods of Pakistan, China’s Shenzhou International Group and Expolanka Holdings of Sri Lanka. National Foods declined as the company had become a bit expensive and corrected off this high base. Shenzhou International and Expolanka suffered on expectations of weaker global trade post the Brexit vote. We remain positive because we are long-term investors and the opportunity has not changed for these companies.

Please note we continue to focus our attention on a bottom-up, fundamental approach, building the portfolio one company at a time in Asia’s smaller but more rapidly developing economies with minimal regard for the backward-looking index.

Notable Portfolio Changes:

In the first quarter, we increased our portfolio weighting in Vietnam, and this change helped contribute to the solid performance in the second quarter. We did not make a material change in the portfolio in the second quarter, but sold out of Universal Robina as valuations were a bit rich. We also sold our residual holdings in CIMC Enric Holdings following disappointing earnings and a shift in its focus on bigger project-based contracts. We also sold our small position in Multi Commodity Exchange of India, as the company faces higher competition and disappointing execution to date. Most recently, we added to some of our weaker performing portfolio names as valuations became more attractive.

(continued)

 
1 Prospectus expense ratios.
2 Matthews has contractually agreed (i) to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 1.25% first by waiving class specific expenses (i.e., shareholder service fees specific to a particular class) of the Institutional Class and then, to the extent necessary, by waiving non-class specific expenses of the Institutional Class, and (ii) if any Fund-wide expenses (i.e., expenses that apply to both the Institutional Class and the Investor Class) are waived for the Institutional Class to maintain the 1.25% expense limitation, to waive an equal amount (in annual percentage terms) of those same expenses for the Investor Class. The Total Annual Fund Operating Expenses After Fee Waiver and Expense Reimbursement for the Investor Class may vary from year to year and will in some years exceed 1.25%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.
3 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

52    MATTHEWS ASIA FUNDS


Table of Contents
 
PERFORMANCE AS OF JUNE 30, 2016  
 

 

    

 

      

 

      

 

     Average Annual Total
Returns
      

 

 
     3 Months      YTD      1 Year      3 Years     

Since

Inception

    

Inception

Date

 
Investor Class (MEASX)      11.04%         10.65%         8.10%         10.04%         7.51%         4/30/13   
Institutional Class (MIASX)      11.10%         10.81%         8.32%         10.30%         7.75%         4/30/13   
MSCI Emerging Markets Asia Index4      0.44%         2.42%         -11.88%         2.19%         -0.10%      
Lipper Emerging Markets Funds Category Average5      2.11%         6.24%         -10.14%         -1.62%         -4.22%      

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted monthly. The performance data does not reflect the deduction of taxes that a shareholder would pay on dividends, capital gain distributions or redemption of Fund shares. Values are in US$.

 

  4 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                     
     Sector      Country      % of Net Assets  
Phu Nhuan Jewelry JSC    Consumer Discretionary      Vietnam        4.0%   
Vinh Hoan Corp.    Consumer Staples      Vietnam        3.3%   
The Searle Company, Ltd.    Health Care      Pakistan        3.3%   
BRAC Bank, Ltd.    Financials      Bangladesh        3.1%   
Tien Phong Plastic JSC    Industrials      Vietnam        3.0%   
National Seed JSC    Consumer Staples      Vietnam        2.9%   
British American Tobacco Bangladesh Co., Ltd.    Consumer Staples      Bangladesh        2.7%   
Sampath Bank PLC    Financials      Sri Lanka        2.5%   
PT Gudang Garam    Consumer Staples      Indonesia        2.5%   
Puregold Price Club, Inc.    Consumer Staples      Philippines        2.4%   
% OF ASSETS IN TOP TEN                29.7%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

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Table of Contents
 
COUNTRY ALLOCATION (%)7,8  
Vietnam     20.7   
Pakistan     18.7   
Bangladesh     14.3   
India     10.2   
Indonesia     8.6   
Sri Lanka     7.3   
China/Hong Kong     5.7   
Philippines     4.1   
Singapore     1.5   
Thailand     1.1   
Australia     0.8   
Cash and Other Assets, Less Liabilities     7.0   

 

 
SECTOR ALLOCATION (%)8  
Consumer Staples     24.7   
Financials     18.0   
Consumer Discretionary     17.8   
Health Care     12.3   
Industrials     9.1   
Materials     4.9   
Energy     2.9   
Utilities     2.3   
Information Technology     1.0   
Cash and Other Assets, Less Liabilities     7.0   

 

 
MARKET CAP EXPOSURE (%)8  
Mega Cap (over $25B)     0.0   
Large Cap ($10B–$25B)     3.3   
Mid Cap ($3B–10B)     8.4   
Small Cap (under $3B)     81.3   
Cash and Other Assets, Less Liabilities     7.0   

 

7 Not all countries where the Fund may invest are included in the benchmark index.

 

8 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

Matthews Emerging Asia Fund

Portfolio Manager Commentary  (unaudited) (continued)

 

Outlook:

In the shorter term, the outlook is always clouded by the changeable sentiment of international investors. In the medium term, high debt levels globally remain a concern and a headwind to growth. We are also concerned about the potential impact of ongoing tensions in the Middle East on oil prices. A prolonged disruption to oil supply could lead to a sharp and sustained recovery in oil prices, which would negatively impact emerging Asian economies.

Looking ahead, political noise in the emerging and frontier Asian region has mostly subsided which, we believe, creates a foundation conducive for stability and growth. Foreign direct investments may continue to shift toward ASEAN and frontier countries, create new manufacturing jobs, receive growing remittance flows and grow their share of global exports off a low base. We believe these factors combined should help ensure a relatively bright future for patient investors.

 

 

54    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Emerging Asia Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 93.0%

 

 

     Shares     Value  
VIETNAM: 20.7%    

Phu Nhuan Jewelry JSC

    1,734,543        $5,988,155   

Vinh Hoan Corp.

    2,486,550        5,068,322   

Tien Phong Plastic JSC

    1,551,020        4,575,732   

National Seed JSC†

    979,585        4,391,970   

Mobile World Investment Corp.

    510,227        2,819,976   

Lix Detergent JSC

    592,870        2,504,853   

DHG Pharmaceutical JSC

    436,320        2,014,928   

Dinh Vu Port Investment & Development JSC

    517,550        1,764,383   

Nam Long Investment Corp.

    1,386,590        1,398,588   

Saigon Securities, Inc.b

    820,828        767,970   
   

 

 

 

Total Vietnam

      31,294,877   
   

 

 

 
   
PAKISTAN: 18.7%                

The Searle Company, Ltd.

    984,068        5,056,003   

K-Electric, Ltd.b

    44,917,000        3,462,599   

Pakistan Petroleum, Ltd.

    2,127,300        3,161,707   

Shifa International Hospitals, Ltd.

    970,351        2,791,689   

PAK Suzuki Motor Co., Ltd.

    727,400        2,658,209   

Habib Bank, Ltd.

    1,370,900        2,590,958   

Abbott Laboratories Pakistan, Ltd.

    282,750        2,045,574   

ICI Pakistan, Ltd.

    451,900        1,920,586   

GlaxoSmithKline Pakistan, Ltd.

    910,940        1,806,037   

Hum Network, Ltd.

    13,501,000        1,325,473   

National Foods, Ltd.

    429,700        1,153,795   

GlaxoSmithKline Consumer Healthcare Pakistan, Ltd.c

    273,282        272,577   
   

 

 

 

Total Pakistan

      28,245,207   
   

 

 

 
   
BANGLADESH: 14.3%                

BRAC Bank, Ltd.

    6,956,565        4,715,728   

British American Tobacco Bangladesh Co., Ltd.

    116,199        4,017,606   

Square Pharmaceuticals, Ltd.

    1,021,126        3,464,554   

Olympic Industries, Ltd.

    626,747        2,761,285   

Marico Bangladesh, Ltd.

    158,867        2,594,372   

United Commercial Bank, Ltd.

    9,499,996        2,034,754   

Berger Paints Bangladesh, Ltd.

    69,450        1,978,884   
   

 

 

 

Total Bangladesh

      21,567,183   
   

 

 

 
   
INDIA: 10.2%                

PC Jeweller, Ltd.

    624,806        3,584,598   

Supreme Industries, Ltd.

    178,934        2,426,033   

Praj Industries, Ltd.

    1,679,488        2,361,525   

Info Edge India, Ltd.

    124,174        1,523,941   

Shriram Transport Finance Co., Ltd.

    83,544        1,493,956   

VST Industries, Ltd.

    49,694        1,254,678   

Cipla India, Ltd.

    153,551        1,142,867   

Shalimar Paints, Ltd.b

    525,830        1,053,332   

Balkrishna Industries, Ltd.

    63,807        626,915   
   

 

 

 

Total India

      15,467,845   
   

 

 

 
   
INDONESIA: 8.6%                

PT Gudang Garam

    712,800        3,729,502   

PT Matahari Department Store

    1,933,600        2,947,017   

PT Mayora Indah

    872,800        2,572,985   

PT Bank Mandiri Persero

    1,819,200        1,316,473   

PT Sumber Alfaria Trijaya

    28,307,700        1,290,606   

PT Indofood CBP Sukses Makmur

    895,800        1,177,628   
   

 

 

 

Total Indonesia

  

    13,034,211   
   

 

 

 
     Shares     Value  
SRI LANKA: 7.3%    

Sampath Bank PLC

    2,457,411        $3,853,376   

National Development Bank PLC

    3,085,185        3,587,478   

Expolanka Holdings PLC

    38,766,072        1,734,995   

Hemas Holdings PLC

    2,203,512        1,307,429   

Ceylinco Insurance Co. PLC

    31,393        310,244   

Lanka Orix Leasing Co. PLCb

    573,466        307,998   
   

 

 

 

Total Sri Lanka

  

    11,101,520   
   

 

 

 
   
CHINA/HONG KONG: 5.7%   

Shenzhou International Group Holdings, Ltd.

    701,000        3,389,802   

Luk Fook Holdings International, Ltd.

    1,113,000        2,460,350   

Future Bright Holdings, Ltd.

    12,924,000        1,238,661   

Red Star Macalline Group Corp., Ltd. H Shares

    1,131,400        1,233,241   

The 13 Holdings, Ltd.b

    840,000        293,902   
   

 

 

 

Total China/Hong Kong

  

    8,615,956   
   

 

 

 
   
PHILIPPINES: 4.1%   

Puregold Price Club, Inc.

    4,072,300        3,652,505   

Vista Land & Lifescapes, Inc.

    12,519,100        1,429,086   

Emperador, Inc.

    7,631,300        1,173,875   
   

 

 

 

Total Philippines

  

    6,255,466   
   

 

 

 
   
SINGAPORE: 1.5%   

Yoma Strategic Holdings, Ltd.b

    5,491,766        2,304,353   
   

 

 

 

Total Singapore

  

    2,304,353   
   

 

 

 
   
THAILAND: 1.1%   

SNC Former Public Co., Ltd.

    4,002,800        1,713,439   
   

 

 

 

Total Thailand

  

    1,713,439   
   

 

 

 
   
AUSTRALIA: 0.8%   

Oil Search, Ltd.

    250,662        1,265,736   
   

 

 

 

Total Australia

  

    1,265,736   
   

 

 

 
   
TOTAL INVESTMENTS: 93.0%             140,865,793   

(Cost $126,732,477d)

  

   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 7.0%
        10,593,537   
   

 

 

 

NET ASSETS: 100.0%

 

    $151,459,330   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Illiquid security, trading was halted at June 30, 2016.

 

d Cost for federal income tax purposes is $126,732,477 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $26,202,311   

Gross unrealized depreciation

    (12,068,995
 

 

 

 

Net unrealized appreciation

    $14,133,316   
 

 

 

 

 

Affiliated Issuer, as defined under the Investment Company Act of 1940 (ownership of 5% or more of the outstanding voting securities of this issuer)

 

JSC Joint Stock Co.

See accompanying notes to financial statements.

 

 

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Table of Contents

LOGO

 

PORTFOLIO MANAGERS*
Michael J. Oh, CFA    

Lead Manager

   
Lydia So, CFA   Robert Harvey, CFA

Co-Manager

  Co-Manager

*   Effective April 29, 2016 Robert Harvey became a Co-Manager of this Fund.

FUND FACTS        
    Investor   Institutional

Ticker

  MATFX   MITEX

CUSIP

  577130883   577125859

Inception

  12/27/99   4/30/13

NAV

  $11.73   $11.76

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.18%   0.97%

Portfolio Statistics

   

Total # of Positions

  48

Net Assets

  $145.5 million

Weighted Average Market Cap

  $37.3 billion

Portfolio Turnover2

  72.85%

Benchmark

   

MSCI AC Asia ex Japan Index

MSCI AC Asia Index

OBJECTIVE

 

 

Long-term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Asia that Matthews believes are innovators in their products, services, processes, business models, management, use of technology, or approach to creating, expanding or servicing their markets. Asia consists of all countries and markets in Asia, including developed, emerging, and frontier countries and markets in the Asian region.

Matthews Asia Innovators Fund

Portfolio Manager Commentary (unaudited)

For the first half of 2016, the Matthews Asia Innovators Fund returned –4.79% (Investor Class) and –4.70%, (Institutional Class), underperforming its primary benchmark, the MSCI All Country Asia ex Japan Index, which returned 2.32%, and its secondary benchmark, the MSCI All Country Asia Index, which returned –1.41%. For the quarter ending June 30, the Fund returned 1.73% (Investor Class) and 1.82% (Institutional Class), while its benchmarks returned 0.51% and 0.78%, respectively.

Market Environment:

The overall market continued to recover from global macroeconomic uncertainties as most markets showed positive returns with the exception of China’s mainland markets. Sentiment toward China remained weak during the first half of the year as most economic data continued to point toward a slowing economy. Southeast Asian markets, in particular, showed decent performance during the first half of the year. The unexpected result from Britain’s referendum to leave the European Union caused volatility during the second quarter, but most Asian markets remained relatively calm. We expect further volatility in the global economy to result from the uncertainty caused by Brexit. However, we believe that Asia’s domestically oriented companies have been relatively unscathed, with the exception of some exporters who may experience more volatility.

As of April 29, 2016, the Fund expanded its investable universe to apply the same investment strategy and philosophy across all sectors and industries in Asia, while retaining a 25% concentration in industries such as Internet, technology and health care. The investment team believes that this change can provide better diversification and enable shareholders to participate in a broader set of innovative companies that stand to benefit from rising disposable income and changing lifestyles in Asia. The focus of the Fund remains on the innovative firms that are rising and cross-pollinating across many industries in the region.

Performance Contributors and Detractors:

LG Household and Health Care was the best-performing company during the first half of the year. The company has been benefiting from the rising popularity of Korean cosmetics in overseas markets, primarily China. The company has built a solid cosmetics brand portfolio and its other personal health care products are also well-positioned to benefit as consumers in Asia continue to trade up to higher quality brands.

By country, Indonesia was the biggest contributor to Fund performance during the first six months of the year while China was the biggest detractor. Indonesia’s Media Nusantara Citra, one of Indonesia’s biggest media companies, and Telekomunikasi Indonesia Persero also performed well as both companies are well-positioned to benefit from consumption growth in Indonesia.

Chinese Internet companies in general underperformed during the first half of the year and were the main detractors of Fund performance. The concern over a slowing Chinese economy is also spilling over to China’s Internet industry. The sector performed very well over the last three years and contributed significantly to Fund performance despite a slowing Chinese economy. However, we expect the overall growth rate to moderate going forward as smartphone penetration in major cities has mostly peaked. As a result, we reduced our exposure to Chinese Internet companies and mostly reallocated capital to Southeast Asia.

 

The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

(continued)

 
Effective on April 29, 2016, the Matthews Asia Innovators Fund changed its primary benchmark to the Matthews AC Asia Ex Japan Index and its secondary index became the MSCI AC Asia Index.
1 Prospectus expense ratios.
2 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

56    MATTHEWS ASIA FUNDS


Table of Contents
 
PERFORMANCE AS OF JUNE 30, 2016  
 

 

    

 

      

 

            Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Years      5 Years      10 Years     

Since

Inception

    

Inception

Date

 
Investor Class (MATFX)      1.73%         -4.79%         -8.52%         11.37%         6.80%         7.61%         2.30%         12/27/1999   
Institutional Class (MITEX)      1.82%         -4.70%         -8.37%         11.56%         n.a.         n.a.         10.33%         4/30/2013   
MSCI AC Asia ex Japan Index3      0.51%         2.32%         -11.72%         2.36%         0.34%         5.92%         5.26% 4    
MSCI AC Asia Index3      0.78%         -1.41%         -10.16%         2.69%         2.25%         2.43%         1.61% 4    
Lipper Pacific ex Japan Funds Category Average5      1.49%         2.44%         -7.73%         2.81%         0.84%         5.79%         6.02% 4    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  3 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition. Effective on April 29, 2016, the Matthews Asia Innovators Fund changed its primary benchmark to the Matthews AC Asia Ex Japan Index and its secondary index became the MSCI AC Asia Index.

 

  4 Calculated from 12/31/99.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                     
     Sector      Country      % of Net Assets  
LG Household & Health Care, Ltd., Pfd.    Consumer Staples      South Korea        4.4%   
Samsung Electronics Co., Ltd., Pfd.    Information Technology      South Korea        4.1%   
Ctrip.com International, Ltd.    Consumer Discretionary      China/Hong Kong        4.0%   
Tencent Holdings, Ltd.    Information Technology      China/Hong Kong        3.6%   
Info Edge India, Ltd.    Information Technology      India        3.0%   
Baidu, Inc.    Information Technology      China/Hong Kong        2.9%   
Singapore Telecommunications, Ltd.    Telecommunication Services      Singapore        2.9%   
JD.com, Inc.    Consumer Discretionary      China/Hong Kong        2.8%   
China Mobile, Ltd.    Telecommunication Services      China/Hong Kong        2.6%   
Naver Corp.    Information Technology      South Korea        2.6%   
% OF ASSETS IN TOP TEN                32.9%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

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Table of Contents
   
COUNTRY ALLOCATION (%)7,8      
China/Hong Kong     30.0   
South Korea     25.1   
Taiwan     9.4   
India     9.3   
Indonesia     8.6   
Singapore     5.7   
Thailand     3.6   
United States     1.8   
Vietnam     1.4   
Philippines     1.4   
Cash and Other Assets, Less Liabilities     3.7   

 

   
SECTOR ALLOCATION (%)8      
Information Technology     29.7   
Consumer Discretionary     18.0   
Health Care     13.4   
Consumer Staples     11.6   
Telecommunication Services     10.6   
Financials     8.4   
Industrials     2.6   
Materials     2.0   
Cash and Other Assets, Less Liabilities     3.7   

 

   
MARKET CAP EXPOSURE (%)8      
Mega Cap (over $25B)     27.4   
Large Cap ($10B-$25B)     25.1   
Mid Cap ($3B-10B)     9.9   
Small Cap (under $3B)     33.9   
Cash and Other Assets, Less Liabilities     3.7   

 

7 Not all countries are included in the benchmark index(es).

 

8 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

Matthews Asia Innovators Fund

Portfolio Manager Commentary  (unaudited) (continued)

iMarketKorea was another detractor to Fund performance during the first half of the year. iMarketKorea provides procurement services for office and health care products of companies based in Korea. Uncertainty surrounding iMarketKorea’s biggest clients, with contracts expiring soon, caused the stock to fall. We exited this holding during the second quarter.

Notable Portfolio Changes:

During the second quarter, we reduced our weighting in Baidu significantly. Its stock has performed very well for us since we first invested in the company during its initial public offering in 2005 and has been a top contributor to Fund performance on a three-year and five-year basis. Baidu has become China’s dominant search engine, and has continued to lead the search industry in both the PC and newer mobile spaces. However, the company is increasingly facing regulatory pressure from the government and has missed some new emerging opportunities in the online-to-offline space compared with other leading Internet companies in China. Nevertheless, Baidu remains a core holding in the portfolio given its attractive valuation level. We believe its dominance in the search industry is still likely to be sustained.

The Fund added to its financials sector holdings, particularly within Southeast Asian firms that have done well to adopt mobile and Internet banking applications. We expect more financial services to move online and companies that can adapt to mobile and Internet banking space are more likely to gain market share.

Outlook:

As the Asian region has continued to grow and develop significantly, we have come to see innovation in businesses outside of the traditional science and technology industries. Over time, the portfolio’s composition has, in some respects, come to reflect this change, with companies generating revenue from innovative services and products beyond the science and technology sectors represented in the portfolio. This led us to change the name of the Matthews Asia Science and Technology Fund to the Matthews Asia Innovators Fund. We will continue to seek companies that, we believe, demonstrate an innovative approach to their businesses while still focusing on the Internet, technology and health care sectors. This can be in the types of products or services they provide or in the way a business is managed or the technology used. Within that framework, we will try to identify companies with sustainable competitive advantages, capable and committed management and strong financials that stand to benefit from rising disposable income in Asia.

We believe that the region may continue to experience volatility following the Brexit vote. However, domestically oriented companies in Asia should be more immune to global macro uncertainties, and we will continue to emphasize the various consumer services industries in which we are seeing the most innovative companies advance.

 

 

58    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Innovators Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 85.8%

 

     Shares     Value  
CHINA/HONG KONG: 30.0%   

Ctrip.com International, Ltd. ADRb

    141,900        $5,846,280   

Tencent Holdings, Ltd.

    230,700        5,292,183   

Baidu, Inc. ADRb

    25,900        4,277,385   

JD.com, Inc. ADRb

    193,800        4,114,374   

China Mobile, Ltd.

    332,500        3,841,777   

NetEase, Inc. ADR

    18,400        3,555,248   

China Biologic Products, Inc.b

    26,300        2,796,216   

PICC Property & Casualty Co., Ltd. H Shares

    1,770,000        2,790,660   

CITIC Telecom International Holdings, Ltd.

    6,390,000        2,416,063   

CSPC Pharmaceutical Group, Ltd.

    2,682,000        2,396,269   

Shandong Weigao Group Medical Polymer Co., Ltd. H Shares

    3,760,000        2,154,553   

Jiangsu Hengrui Medicine Co., Ltd. A Shares

    341,145        2,060,752   

Zhaopin, Ltd. ADRb

    141,763        2,059,816   
   

 

 

 

Total China/Hong Kong

      43,601,576   
   

 

 

 
   
SOUTH KOREA: 14.6%   

Naver Corp.

    6,135        3,800,731   

BGF Retail Co., Ltd.

    17,072        3,178,716   

Hana Tour Service, Inc.

    42,361        3,090,775   

Hugel, Inc.b

    9,915        2,750,337   

Kiwoom Securities Co., Ltd.

    37,987        2,377,119   

Samsung Fire & Marine Insurance Co., Ltd.

    10,231        2,349,856   

Innocean Worldwide, Inc.

    30,112        2,132,447   

Orion Corp.

    1,830        1,502,109   
   

 

 

 

Total South Korea

      21,182,090   
   

 

 

 
   
TAIWAN: 9.4%   

Taiwan Semiconductor Manufacturing Co., Ltd.

    684,000        3,447,153   

PChome Online, Inc.

    277,525        3,076,285   

Delta Electronics, Inc.

    581,511        2,837,380   

Ennoconn Corp.

    181,000        2,432,245   

Ginko International Co., Ltd.

    187,000        1,953,688   
   

 

 

 

Total Taiwan

      13,746,751   
   

 

 

 
   
INDIA: 9.3%   

Info Edge India, Ltd.

    358,398        4,398,484   

Lupin, Ltd.

    126,795        2,900,735   

Bharti Infratel, Ltd.

    478,543        2,452,085   

Britannia Industries, Ltd.

    49,840        2,041,711   

Blue Dart Express, Ltd.

    20,451        1,808,244   
   

 

 

 

Total India

      13,601,259   
   

 

 

 
   
INDONESIA: 8.6%                

PT Media Nusantara Citra

    17,798,000        2,985,928   

PT Matahari Department Store

    1,862,900        2,839,262   

PT Bank Mandiri Persero

    3,525,500        2,551,246   

PT Telekomunikasi Indonesia Persero ADR

    39,900        2,452,254   

PT Sumber Alfaria Trijaya

    38,218,200        1,742,446   
   

 

 

 

Total Indonesia

      12,571,136   
   

 

 

 
   
SINGAPORE: 5.7%                

Singapore Telecommunications, Ltd.

    1,373,000        4,240,673   

Raffles Medical Group, Ltd.

    2,254,800        2,532,014   

iFAST Corp., Ltd.

    1,980,100        1,460,605   
   

 

 

 

Total Singapore

      8,233,292   
   

 

 

 
     Shares     Value  
THAILAND: 3.6%    

Major Cineplex Group Public Co., Ltd.

    3,261,900        $3,072,566   

Kasikornbank Public Co., Ltd.

    434,200        2,108,456   
   

 

 

 

Total Thailand

      5,181,022   
   

 

 

 
   
UNITED STATES: 1.8%   

Cognizant Technology Solutions Corp. Class Ab

    46,500        2,661,660   
   

 

 

 

Total United States

      2,661,660   
   

 

 

 
   
VIETNAM: 1.4%   

Mobile World Investment Corp.

    375,365        2,074,606   
   

 

 

 

Total Vietnam

      2,074,606   
   

 

 

 
   
PHILIPPINES: 1.4%   

Puregold Price Club, Inc.

    2,282,900        2,047,566   
   

 

 

 

Total Philippines

      2,047,566   
   

 

 

 
   
TOTAL COMMON EQUITIES        124,900,958   
   

 

 

 

(Cost $102,842,423)

   
   

PREFERRED EQUITIES: 10.5%

   
SOUTH KOREA: 10.5%                

LG Household & Health Care, Ltd., Pfd.

    11,178        6,436,663   

Samsung Electronics Co., Ltd., Pfd.

    5,820        6,003,839   

LG Chem, Ltd., Pfd.

    17,091        2,852,934   
   

 

 

 

Total South Korea

      15,293,436   
   

 

 

 
   
TOTAL PREFERRED EQUITIES        15,293,436   
   

 

 

 

(Cost $11,960,539)

   
   

RIGHTS: 0.0%

   
TAIWAN: 0.0%                

Ennoconn Corp., expires 7/12/16

    9,163        12,921   
   

 

 

 
   
TOTAL RIGHTS        12,921   
   

 

 

 

(Cost $0)

   
   
TOTAL INVESTMENTS: 96.3%             140,207,315   

(Cost $114,802,959c)

   
   

CASH AND OTHER ASSETS,

LESS LIABILITIES: 3.7%

      5,330,758   
   

 

 

 

NET ASSETS: 100.0%

      $145,538,073   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $114,933,251 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $29,784,289   

Gross unrealized depreciation

    (4,510,225
 

 

 

 

Net unrealized appreciation

    $25,274,064   
 

 

 

 

 

ADR American Depositary Receipt

 

Pfd. Preferred

See accompanying notes to financial statements.

 

 

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Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Andrew Mattock, CFA  

Lead Manager

 
Henry Zhang, CFA   Winnie Chwang

Co-Manager

 

Co-Manager

FUND FACTS        
    Investor   Institutional      

Ticker

  MCHFX   MICFX

CUSIP

  577130701   577130818

Inception

  2/19/98   10/29/10

NAV

  $16.19   $16.17

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.14%   0.99%

Portfolio Statistics

Total # of Positions

  40

Net Assets

  $579.5 million

Weighted Average
Market Cap

  $86.8 billion

Portfolio Turnover2

  66.22%

Benchmark

MSCI China Index

OBJECTIVE

 

 

Long-term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in China. China includes its administrative and other districts, such as Hong Kong.

Matthews China Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews China Fund returned –12.11% (Investor Class) and –12.07% (Institutional Class) while its benchmark, the MSCI China Index, returned –4.53%. For the quarter ending June 30, the Fund returned –1.76% (Investor and Institutional Class) while its benchmark returned 0.28%.

Market Environment:

After somewhat of a recovery from the latter part of the first quarter, Chinese equities resumed their sell-off beginning in late April. Triggered, yet again, by slowing economic concerns, the sell-off was tied this time to disappointing news over the 14-month consecutive decline of the purchasing managers’ index—signaling continued macroeconomic weakness in China. Likewise, China’s domestic equity markets continued to be weak into the second quarter of 2016 and low trading volumes in these markets indicated prolonged risk-off investment attitudes. Toward the end of the second quarter, results of the Brexit vote continued to spark global concerns over equities. Amid this development, Asian stocks also came under pressure but held up considerably better than European and non-Asian emerging markets.

Performance Contributors and Detractors:

During the first half of the year, holdings in the financials and consumer discretionary sectors hurt Fund performance, and were impacted by investor concerns over China’s decelerating overall economic growth. JD.com, one of the largest online shopping platforms in China, was a major detractor to Fund performance during the first half of this year. The company reported relatively modest revenue growth as it tried to balance it along with profitability. In addition, JD continues to invest in its logistics network and expand its product offerings and geographic reach. While some of these initiatives may cause short-term earnings volatility, we expect the firm will ultimately benefit over the long run.

Information technology, energy and consumer staples were among the sectors that were positive contributors to Fund performance. NetEase, a leading Chinese Internet company, was one of the top performers in the second quarter. The firm is well-established in both mobile game and PC-game markets and has outstanding in-house development capabilities. As China’s mobile game market continues to grow and consolidate, we believe NetEase is well-positioned to benefit from this secular trend given its strong cash flow generation and solid balance sheet.

Notable Portfolio Changes:

During the period, we exited our position in China Vanke, a leading property developer. Over the past few months, China Vanke encountered a hostile takeover from Baoneng Group, a Shenzhen-based private conglomerate. Although the current chairman and management team have built the company from the ground up since 1988, their combined shareholding ownership is relatively small. Baoneng, the largest current shareholder of the company, recently proposed a removal of the entire board of directors, including the chairman. We believe the hostile takeover may affect the company’s normal operation and management stability. Since the stock had performed well in recent years and benefited from the takeover bid, we took the opportunity to exit this position.

Outlook:

Throughout the first two quarters of 2016, China’s economic statistics were uninspiring. As we await positive developments on the earnings recovery front, we are

(continued)

 
1 Prospectus expense ratios.
2 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

60    MATTHEWS ASIA FUNDS


Table of Contents
 
PERFORMANCE AS OF JUNE 30, 2016  
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Years      5 Years      10 Years      Since
Inception
     Inception
Date
 
Investor Class (MCHFX)      -1.76%         -12.11%         -23.89%         0.46%         -3.53%         7.49%         8.34%         2/19/98   
Institutional Class (MICFX)      -1.76%         -12.07%         -23.83%         0.58%         -3.37%         n.a.         -3.28%         10/29/10   
MSCI China Index3      0.28%         -4.53%         -23.20%         3.62%         -0.24%         7.48%         2.92% 4    
Lipper China Region Funds Category Average5      -0.10%         -5.50%         -19.94%         3.18%         -0.21%         6.03%         6.33% 4    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

 

 

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  3 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  4 Calculated from 2/28/98.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

     
TOP TEN HOLDINGS6              
     Sector      % of Net Assets  
Tencent Holdings, Ltd.    Information Technology        10.9%   
Alibaba Group Holding, Ltd.    Information Technology        6.1%   
Ping An Insurance Group Co. of China, Ltd.    Financials        5.8%   
China Mobile, Ltd.    Telecommunication Services        4.8%   
China Construction Bank Corp.    Financials        4.7%   
Industrial & Commercial Bank of China, Ltd.    Financials        4.4%   
China Life Insurance Co., Ltd.    Financials        4.1%   
China Overseas Land & Investment, Ltd.    Financials        3.6%   
China Resources Land, Ltd.    Financials        3.4%   
China State Construction International Holdings, Ltd.    Industrials        2.9%   
% OF ASSETS IN TOP TEN           50.7%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

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Table of Contents
 
SECTOR ALLOCATION (%)7  
Financials     35.7   
Information Technology     24.5   
Consumer Discretionary     11.7   
Industrials     9.1   
Energy     4.8   
Telecommunication Services     4.8   
Health Care     2.3   
Materials     2.2   
Consumer Staples     1.9   
Utilities     1.8   
Cash and Other Assets, Less Liabilities     1.2   

 

 
MARKET CAP EXPOSURE (%)7  
Mega Cap (over $25B)     60.5   
Large Cap ($10B–$25B)     16.1   
Mid Cap ($3B–10B)     19.6   
Small Cap (under $3B)     2.6   
Cash and Other Assets, Less Liabilities     1.2   

 

7 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

Matthews China Fund

Portfolio Manager Commentary  (unaudited) (continued)

mindful of the volatility in the global environment and some of the opportunities or risks it presents. The trade impact of Brexit on the Chinese economy may not be great as the U.K. is a smaller trading partner. But implications on the longer-term stability of the E.U., which is China’s third-largest trading partner, could eventually trickle into larger concerns. The Fund has always maintained a focus on investing in companies focused on the domestic economy, which should be less effected by the volatility stemming from macro developments. We remain positive on the structural reform agenda in China and believe that valuations support an optimistic outlook on Chinese equities.

 

 

62    MATTHEWS ASIA FUNDS


Table of Contents

Matthews China Fund

June 30, 2016

Consolidated Schedule of Investmentsa (unaudited)

COMMON EQUITIES: CHINA/HONG KONG: 98.8%

 

     Shares     Value  
FINANCIALS: 35.7%   

Banks: 13.6%

   

China Construction Bank Corp. H Shares

    41,106,660        $27,403,265   

Industrial & Commercial Bank of China, Ltd.
H Shares

    45,794,000        25,537,889   

China Merchants Bank Co., Ltd. H Shares

    6,328,643        14,278,189   

Chongqing Rural Commercial Bank Co., Ltd.
H Shares

    22,684,000        11,553,253   
   

 

 

 
      78,772,596   
   

 

 

 
   

Insurance: 10.0%

   

Ping An Insurance Group Co. of China, Ltd.
H Shares

    7,634,000        33,823,774   

China Life Insurance Co., Ltd. H Shares

    11,038,000        23,799,279   
   

 

 

 
      57,623,053   
   

 

 

 
   

Real Estate Management & Development: 8.1%

  

 

China Overseas Land & Investment, Ltd.

    6,526,000        20,803,920   

China Resources Land, Ltd.

    8,472,000        19,963,839   

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. B Shares

    3,915,136        6,127,172   
   

 

 

 
      46,894,931   
   

 

 

 
   

Capital Markets: 3.0%

   

CITIC Securities Co., Ltd. H Shares

    5,125,500        11,372,975   

China Galaxy Securities Co., Ltd. H Shares

    6,776,500        6,115,523   
   

 

 

 
      17,488,498   
   

 

 

 
   

Diversified Financial Services: 1.0%

   

Hong Kong Exchanges and Clearing, Ltd.

    239,200        5,828,244   
   

 

 

 

Total Financials

      206,607,322   
   

 

 

 
   
INFORMATION TECHNOLOGY: 24.5%   

Internet Software & Services: 21.6%

   

Tencent Holdings, Ltd.

    2,763,500        63,393,787   

Alibaba Group Holding, Ltd. ADRc

    441,700        35,128,401   

Baidu, Inc. ADRc

    70,700        11,676,105   

NetEase, Inc. ADR

    48,600        9,390,492   

Wangsu Science & Technology Co., Ltd.
A Sharesd

    560,188        5,712,464   
   

 

 

 
      125,301,249   
   

 

 

 
   

Electronic Equipment, Instruments & Components: 1.6%

  

Hangzhou Hikvision Digital Technology Co., Ltd.
A Sharesd

    2,859,988        9,297,733   
   

 

 

 
   

Communications Equipment: 1.3%

   

ZTE Corp. H Shares

    5,927,164        7,539,081   
   

 

 

 

Total Information Technology

      142,138,063   
   

 

 

 
   
CONSUMER DISCRETIONARY: 11.7%   

Internet & Catalog Retail: 6.2%

   

JD.com, Inc. ADRc

    606,307        12,871,898   

Ctrip.com International, Ltd. ADRc

    305,200        12,574,240   

Vipshop Holdings, Ltd. ADRc

    950,929        10,621,877   
   

 

 

 
      36,068,015   
   

 

 

 
   

Automobiles: 2.4%

   

Chongqing Changan Automobile Co., Ltd.
B Shares

    9,756,224        13,666,354   
   

 

 

 
   
     Shares     Value  

Household Durables: 2.0%

   

Gree Electric Appliances, Inc. of Zhuhai
A Sharesb,d

    3,824,278        $11,542,467   
   

 

 

 

Auto Components: 1.1%

   

Fuyao Glass Industry Group Co., Ltd. A Shares

    3,103,359        6,556,486   
   

 

 

 

Total Consumer Discretionary

      67,833,322   
   

 

 

 
   
INDUSTRIALS: 9.1%   

Construction & Engineering: 4.6%

   

China State Construction International Holdings, Ltd.

 

 

12,716,000

  

 

 

16,872,487

  

   

China State Construction Engineering Corp.,
Ltd. A Shares

    12,178,889        9,781,454   
   

 

 

 

Total Construction & Engineering

      26,653,941   
   

 

 

 
   

Commercial Services & Supplies: 3.2%

   

China Everbright International, Ltd.

    9,723,000        10,871,757   

Dongjiang Environmental Co., Ltd. H Shares

    4,353,400        7,513,167   
   

 

 

 
      18,384,924   
   

 

 

 
   

Electrical Equipment: 0.7%

   

Boer Power Holdings, Ltd.

    9,644,000        4,234,808   
   

 

 

 
   

Transportation Infrastructure: 0.6%

   

Qingdao Port International Co., Ltd. H Shares

    7,662,000        3,490,694   
   

 

 

 

Total Industrials

      52,764,367   
   

 

 

 
   
ENERGY: 4.8%                

Oil, Gas & Consumable Fuels: 4.8%

   

China Petroleum & Chemical Corp. H Shares

    19,686,000        14,225,482   

China Shenhua Energy Co., Ltd. H Shares

    7,328,500        13,630,284   
   

 

 

 

Total Energy

      27,855,766   
   

 

 

 
   
TELECOMMUNICATION SERVICES: 4.8%   

Wireless Telecommunication Services: 4.8%

  

China Mobile, Ltd.

    2,396,000        27,683,900   
   

 

 

 

Total Telecommunication Services

      27,683,900   
   

 

 

 
   
HEALTH CARE: 2.3%   

Pharmaceuticals: 1.3%

   

Sino Biopharmaceutical, Ltd.

    8,842,000        5,803,215   

CSPC Pharmaceutical Group, Ltd.

    1,778,000        1,588,578   
   

 

 

 
      7,391,793   
   

 

 

 
   

Health Care Providers & Services: 1.0%

   

Sinopharm Group Co., Ltd. H Shares

    1,195,600        5,743,291   
   

 

 

 

Total Health Care

      13,135,084   
   

 

 

 
   
MATERIALS: 2.2%                

Construction Materials: 2.2%

   

Anhui Conch Cement Co., Ltd. H Shares

    5,374,500        13,012,883   
   

 

 

 

Total Materials

      13,012,883   
   

 

 

 
   
CONSUMER STAPLES: 1.9%                

Beverages: 1.9%

   

Wuliangye Yibin Co., Ltd. A Sharesd

    2,267,626        11,160,356   
   

 

 

 

Total Consumer Staples

      11,160,356   
   

 

 

 
   
 

 

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Table of Contents

Matthews China Fund

June 30, 2016

Consolidated Schedule of Investmentsa (unaudited) (continued)

COMMON EQUITIES: CHINA/HONG KONG (continued)

 

     Shares     Value  
UTILITIES: 1.8%    

Water Utilities: 1.8%

   

Beijing Enterprises Water Group, Ltd.

    17,398,000        $10,536,062   
   

 

 

 

Total Utilities

      10,536,062   
   

 

 

 
   
TOTAL INVESTMENTS: 98.8%             572,727,125   
   

 

 

 

(Cost $598,229,860e)

   
   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 1.2%
      6,791,440   
   

 

 

 

NET ASSETS: 100.0%

      $579,518,565   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Illiquid security, trading was halted at June 30, 2016.

 

c Non-income producing security.

 

d Security held by Matthews CF-U Series. See note 2-C.

 

e Cost for federal income tax purposes is $606,897,341 and net unrealized depreciation consists of:

 

Gross unrealized appreciation

    $49,137,936   

Gross unrealized depreciation

    (83,308,152
 

 

 

 

Net unrealized depreciation

    ($34,170,216
 

 

 

 

 

ADR American Depositary Receipt

See accompanying notes to financial statements.

 

 

64    MATTHEWS ASIA FUNDS


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Sunil Asnani    

Lead Manager

   
Sharat Shroff, CFA  

Co-Manager

   
FUND FACTS
    Investor   Institutional

Ticker

  MINDX   MIDNX

CUSIP

  577130859   577130768

Inception

  10/31/05   10/29/10

NAV

  $26.90   $26.99

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  1.11%   0.90%

Portfolio Statistics

   

Total # of Positions

  48

Net Assets

  $1.6 billion

Weighted Average Market Cap

  $10.6 billion

Portfolio Turnover2

  9.51%

Benchmark

 

S&P Bombay Stock Exchange 100 Index

OBJECTIVE

 

 

Long-term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in publicly traded common stocks, preferred stocks and convertible securities of companies located in India.

Matthews India Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews India Fund returned 1.78% (Investor Class) and 1.89% (Institutional Class), while its benchmark, the S&P Bombay Stock Exchange 100 Index, returned 3.00%. For the quarter ending June 30, the Fund returned 6.03% (Investor Class) and 6.05% (Institutional Class), while its benchmark returned 5.88%.

Market Environment:

Over the first half of the year, India’s market was impacted by a variety of macroeconomic uncertainties such as Britain’s vote to exit from the European Union, the announced departure of India’s central bank governor amid resurging inflation, and the Parliament’s continued challenge in legislating on key reform bills. Thankfully, India’s corporate earnings saw some recovery in the first quarter amid forecasts of adequate rainfall for the season, and the federal government’s approval of recommendations to raise salaries for millions of civil servants. There was also a marginal change in the composition of the Upper House, which sparked some hopes that critical bills pertaining to land acquisition and goods and services taxes could pass.

Performance Contributors and Detractors:

For both the first six months of the year and in the second quarter, small-capitalization stocks continued to underperform their larger peers, which hurt the Fund’s relative performance against its benchmark. Such a correction should be seen as a reversion to the mean, since small caps had significantly outperformed large caps over the previous two calendar years. Our higher allocation to technology and health care stocks also detracted from Fund performance during these periods as those sectors were relatively weak this year, despite continuing to deliver on earnings. Technology companies had offered guidance for a weaker outlook prior to the Brexit vote, while health care stocks, such as Sun Pharmaceuticals, were possibly weak amid increasingly stringent U.S. Food and Drug Administration inspections of facilities. While our portfolio holdings in these sectors have done better than their benchmark peers and have been less affected by such issues, our relative overweight posed a significant performance detractor.

Our limited exposure to metal stocks also did not help amid an environment of rising commodity prices. However, staying away from corporate banking and state-owned banks helped mitigate the portfolio underperformance during this period, as such banks were adversely hit by rising nonperforming assets in the corporate and infrastructure sectors. However, given Central Bank Governor Raghuram Rajan’s impending departure, the hope for possibly more accommodative monetary policies and the resulting steepening of the yield curve have led to a rally in such ailing stocks. During the second quarter, earnings disappointment in the energy and telecom sectors also contributed to our relative outperformance as the portfolio does not hold such stocks.

Notable Portfolio Changes:

During the last quarter, we exited property trust Ascendas India Trust, which is listed in Singapore but holds the bulk of its operational commercial real estate assets in India. We had been trimming this position for some time as the company’s pricing power and growth drivers were not as strong as we initially believed.

Outlook:

While the earnings recovery is good news, the Indian market continues to be running ahead of fundamentals, trading at multiples significantly higher than long-term averages. Potentially easier monetary policy that may be set may help

(continued)

 
1 Prospectus expense ratios.
2 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

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Table of Contents
                 
PERFORMANCE AS OF JUNE 30, 2016                                                        
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Years      5 Years      10 Years      Since
Inception
     Inception
Date
 
Investor Class (MINDX)      6.03%         1.78%         -3.54%         20.61%         6.76%         11.21%         11.85%         10/31/05   
Institutional Class (MIDNX)      6.05%         1.89%         -3.32%         20.83%         6.95%         n.a.         4.85%         10/29/10   
S&P Bombay Stock Exchange 100 Index3      5.88%         3.00%         -4.75%         10.28%         1.08%         7.77%         9.77% 4    
Lipper India Region Funds Category Average5      7.06%         2.42%         -3.36%         13.78%         2.10%         6.84%         8.32% 4    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

 

 

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  3 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  4 Calculated from 10/31/05.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

     
TOP TEN HOLDINGS6              
     Sector      % of Net Assets  
ITC, Ltd.    Consumer Staples        5.5%   
IndusInd Bank, Ltd.    Financials        4.8%   
Taro Pharmaceutical Industries, Ltd.    Health Care        4.6%   
Cognizant Technology Solutions Corp.    Information Technology        4.4%   
eClerx Services, Ltd.    Information Technology        4.2%   
Shriram City Union Finance, Ltd.    Financials        4.1%   
Kotak Mahindra Bank, Ltd.    Financials        4.1%   
Ajanta Pharma, Ltd.    Health Care        4.0%   
HDFC Bank, Ltd.    Financials        3.9%   
Emami, Ltd.    Consumer Staples        3.6%   
% OF ASSETS IN TOP TEN           43.2%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

66    MATTHEWS ASIA FUNDS


Table of Contents

Matthews India Fund

Portfolio Manager Commentary  (unaudited) (continued)

consumers and realty stocks in the short term, but they might also worsen India’s fiscal deficit and inflationary situation in the medium to long term. The resurgence in commodity prices and food inflation may contribute further to inflationary pressures. On the reform front, the government has been able to push through a few executive and policy decisions, such as increasing foreign direct investment limits with automatic approvals in some key sectors, and also pass bills to better regulate the bankruptcy process and real estate development. However, it has not been able to get approved legislation that would effectively improve taxation, banking and infrastructure. The changed composition of the Upper House also remains insufficient for a smooth passage of these laws in the near term. A bright spot for India investors has been the presence of businesses and entrepreneurs that are able to march along to a secular growth path regardless. But we believe that necessitates investing for the long term, with a bottom-up and a benchmark-agnostic investment philosophy.

 
SECTOR ALLOCATION (%)7  
Financials     26.4   
Consumer Staples     20.5   
Information Technology     15.5   
Health Care     13.6   
Industrials     9.4   
Consumer Discretionary     6.9   
Materials     4.5   
Cash and Other Assets, Less Liabilities     3.2   

 

 
MARKET CAP EXPOSURE (%)7  
Mega Cap (over $25B)     18.2   
Large Cap ($10B-$25B)     5.3   
Mid Cap ($3B-10B)     23.7   
Small Cap (under $3B)     49.6   
Cash and Other Assets, Less Liabilities     3.2   

 

7 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.
 

 

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Table of Contents

Matthews India Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 96.8%

 

     Shares     Value  
FINANCIALS: 26.4%    

Banks: 13.3%

   

IndusInd Bank, Ltd.

    4,625,934        $76,445,083   

Kotak Mahindra Bank, Ltd.

    5,697,258        64,621,477   

HDFC Bank, Ltd.

    2,782,565        48,652,144   

HDFC Bank, Ltd. ADR

    206,922        13,729,275   

IDFC Bank, Ltd.b

    11,550,467        7,774,675   
   

 

 

 
      211,222,654   
   

 

 

 
   

Consumer Finance: 4.9%

   

Shriram City Union Finance, Ltd.

    2,660,274        65,176,501   

Sundaram Finance, Ltd.

    588,318        13,314,056   
   

 

 

 
      78,490,557   
   

 

 

 
   

Thrifts & Mortgage Finance: 4.7%

   

Housing Development Finance Corp., Ltd.

    2,958,810        55,124,242   

GRUH Finance, Ltd.

    4,616,010        19,666,984   
   

 

 

 
      74,791,226   
   

 

 

 
   

Diversified Financial Services: 3.5%

   

CRISIL, Ltd.

    1,527,723        45,628,330   

IDFC, Ltd.

    11,350,467        8,025,350   

Multi Commodity Exchange of India, Ltd.

    168,101        2,502,227   
   

 

 

 
      56,155,907   
   

 

 

 

Total Financials

      420,660,344   
   

 

 

 
   
CONSUMER STAPLES: 20.5%                

Personal Products: 10.3%

   

Emami, Ltd.

    3,520,577        57,548,419   

Dabur India, Ltd.

    8,332,176        38,166,248   

Bajaj Corp., Ltd.

    6,554,447        37,815,842   

Marico, Ltd.

    7,902,328        30,916,494   
   

 

 

 
      164,447,003   
   

 

 

 
   

Tobacco: 7.5%

   

ITC, Ltd.

    16,077,949        88,025,004   

VST Industries, Ltd.†

    1,215,704        30,694,195   
   

 

 

 
      118,719,199   
   

 

 

 
   

Food Products: 2.7%

   

Nestle India, Ltd.

    244,636        23,608,342   

Zydus Wellness, Ltd.

    1,670,471        19,765,550   
   

 

 

 
      43,373,892   
   

 

 

 

Total Consumer Staples

      326,540,094   
   

 

 

 
   
INFORMATION TECHNOLOGY: 15.5%                

IT Services: 11.9%

   

Cognizant Technology Solutions Corp. Class Ab

    1,214,200        69,500,808   

eClerx Services, Ltd.†

    3,113,051        66,778,698   

Mindtree, Ltd.

    5,506,584        54,360,848   
   

 

 

 
      190,640,354   
   

 

 

 
   

Internet Software & Services: 3.6%

   

Info Edge India, Ltd.

    3,300,761        40,508,997   

Just Dial, Ltd.

    1,833,709        16,659,530   
   

 

 

 
      57,168,527   
   

 

 

 

Total Information Technology

      247,808,881   
   

 

 

 
   
     Shares     Value  
HEALTH CARE: 13.6%    

Pharmaceuticals: 12.8%

   

Taro Pharmaceutical Industries, Ltd.b

    502,600        $73,178,560   

Ajanta Pharma, Ltd.

    2,848,230        63,579,294   

Alembic Pharmaceuticals, Ltd.

    2,640,862        22,517,783   

Sun Pharma Advanced Research Co., Ltd.b

    4,196,014        20,765,794   

Sun Pharmaceutical Industries, Ltd.

    1,365,725        15,485,110   

Caplin Point Laboratories, Ltd.

    602,387        8,889,479   
   

 

 

 
      204,416,020   
   

 

 

 
   

Health Care Equipment & Supplies: 0.8%

   

Poly Medicure, Ltd.

    2,076,732        12,063,970   
   

 

 

 

Total Health Care

      216,479,990   
   

 

 

 
   
INDUSTRIALS: 9.4%                

Machinery: 4.8%

   

AIA Engineering, Ltd.

    3,200,145        48,872,346   

Thermax, Ltd.

    1,183,128        14,480,850   

Ashok Leyland, Ltd.

    9,356,152        13,681,570   
   

 

 

 
      77,034,766   
   

 

 

 
   

Air Freight & Logistics: 1.9%

   

Blue Dart Express, Ltd.

    346,973        30,678,780   
   

 

 

 
   

Road & Rail: 1.4%

   

Container Corp. of India, Ltd.

    1,034,055        21,963,466   
   

 

 

 
   

Transportation Infrastructure: 1.3%

   

Gujarat Pipavav Port, Ltd.b

    8,578,564        20,795,305   
   

 

 

 

Total Industrials

      150,472,317   
   

 

 

 
   
CONSUMER DISCRETIONARY: 6.9%                

Textiles, Apparel & Luxury Goods: 3.7%

   

Titan Co., Ltd.

    4,360,467        26,299,031   

Page Industries, Ltd.

    107,100        22,286,019   

Kewal Kiran Clothing, Ltd.

    295,445        7,957,908   

Vaibhav Global, Ltd.b

    500,000        2,023,485   
   

 

 

 
      58,566,443   
   

 

 

 
   

Household Durables: 3.2%

   

Symphony, Ltd.

    1,166,560        43,131,683   

LA Opala RG, Ltd.

    935,045        7,657,229   
   

 

 

 
      50,788,912   
   

 

 

 

Total Consumer Discretionary

      109,355,355   
   

 

 

 
   
MATERIALS: 4.5%                

Chemicals: 3.5%

   

Supreme Industries, Ltd.

    1,738,965        23,577,335   

Asian Paints, Ltd.

    1,304,000        19,413,595   

Castrol India, Ltd.

    2,139,063        12,030,321   
   

 

 

 
      55,021,251   
   

 

 

 
   

Metals & Mining: 1.0%

   

NMDC, Ltd.

    11,963,892        16,701,814   
   

 

 

 

Total Materials

      71,723,065   
   

 

 

 
   
TOTAL INVESTMENTS: 96.8%             1,543,040,046   

(Cost $1,269,828,903c)

   
   
 

 

68    MATTHEWS ASIA FUNDS


Table of Contents

Matthews India Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

COMMON EQUITIES (continued)

 

            Value  
CASH AND OTHER ASSETS,
LESS LIABILITIES: 3.2%
      $51,000,444   
   

 

 

 

NET ASSETS: 100.0%

      $1,594,040,490   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $1,269,932,009 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $352,091,092   

Gross unrealized depreciation

    (78,983,055
 

 

 

 

Net unrealized appreciation

    $273,108,037   
 

 

 

 

 

Affiliated Issuer, as defined under the Investment Company Act of 1940 (ownership of 5% or more of the outstanding voting securities of this issuer)

 

ADR American Depositary Receipt

See accompanying notes to financial statements.

    

 

 

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Table of Contents

LOGO

 

PORTFOLIO MANAGERS

Kenichi Amaki    

Lead Manager

   
Taizo Ishida    

Co-Manager

   
FUND FACTS
    Investor   Institutional

Ticker

  MJFOX   MIJFX

CUSIP

  577130800   577130792

Inception

  12/31/98   10/29/10

NAV

  $20.16   $20.20

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

  0.99%   0.87%

Portfolio Statistics

   

Total # of Positions

   

62

Net Assets

   

$3.4 billion

Weighted Average Market Cap

 

$13.3 billion

Portfolio Turnover2

     

24.19%

Benchmark

MSCI Japan Index

OBJECTIVE

 

 

Long-term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in Japan.

Matthews Japan Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Japan Fund returned 6.27% (Investor Class) and 6.32% (Institutional Class) while its benchmark, the MSCI Japan Index, returned –5.41%. For the quarter ending June 30, 2016, the Matthews Japan Fund returned 6.05% (Investor Class) and 6.04% (Institutional Class), while its benchmark, the MSCI Japan Index, returned 1.03%.

Market Environment:

During the first half of the year, the Japanese equity market performed poorly on a local currency basis. Slowing global economic activity, mounting debt in China and the Brexit vote prompted a “flight to safety” trade resulting in a sharp appreciation of the yen. The external environment has become increasingly challenging for Japanese corporate earnings, particularly for export related businesses. On the bright side, the Fund has been able to post positive returns as year-to-date yen appreciation of 16.55% has alleviated much of the decline in equity prices.

Japan’s first quarter GDP grew at an annualized 1.9% rate which was better than market expectations. Capital expenditures have been weak but private consumption has shown some recovery. During the second quarter, Prime Minister Abe announced the postponement of a planned sales tax increase, pushing it back from April 2017 to October 2019. Though this move was widely expected, it does erase some uncertainty in the short term.

Performance Contributors and Detractors:

Stock selection accounted for the majority of the Fund’s outperformance. During the second quarter, the financials sector was again the leading source of relative performance. Our strategy to focus on unique and growing financial services firms, while avoiding more traditional names in banking and real estate, has been a significant driver of outperformance for the Fund. Corporate welfare and real estate management company Relo Group, credit guarantee company eGuarantee and M&A advisory firm Nihon M&A Center all contributed positively to Fund performance. Additionally, our core holdings in the internet sector such as health care information service company M3 and fashion e-commerce company Start Today continue to deliver impressive returns. However, we have turned a bit more cautious on these names as strong performance has resulted in elevated valuation levels.

On the negative side, our lack of exposure to the telecom sector detracted from relative performance. We believe investors have gravitated towards this sector for its defensive characteristics and relatively higher yield. However, we remain concerned with the level of involvement from the government regarding wireless telecom tariffs and continue to avoid the sector.

Notable Portfolio Changes:

Since the middle of last year, we have focused our research efforts on identifying opportunities in companies that have struggled with a weaker yen. We believe that companies with fundamentally strong franchises and capable management teams have the ability to adapt to different currency regimes over time. Though we did not expect the yen to appreciate as much as it has year-to-date, the incremental changes we have made to the portfolio over the past year have benefited performance significantly.

During the quarter, we tilted the portfolio further towards companies that are strong yen beneficiaries while not compromising on medium-term growth potential and franchise quality. Nitori Holdings is one such example. As the leading

(continued)

 
1 Prospectus expense ratios.
2 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

70    MATTHEWS ASIA FUNDS


Table of Contents
 
PERFORMANCE AS OF JUNE 30, 2016  
 

 

   3 Months      YTD      1 Year      Average Annual Total Returns      Inception
Date
 
              3 Years      5 Years      10 Years      Since
Inception
    

Investor Class (MJFOX)

     6.05%         6.27%         5.00%         11.42%         10.65%         3.03%         6.07%         12/31/98   

Institutional Class (MIJFX)

     6.04%         6.32%         5.10%         11.56%         10.79%         n.a.         11.72%         10/29/10   

MSCI Japan Index3

     1.03%         -5.41%         -8.64%         3.00%         4.45%         0.33%         2.52% 4    

Lipper Japanese Funds Category Average5

     0.56%         -4.10%         -6.60%         5.70%         6.36%         1.32%         4.01%      

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  3 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definitions.

 

  4 Calculated from 12/31/98.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                     
     Sector             % of Net Assets  

Kao Corp.

   Consumer Staples             2.9%   

M3, Inc.

   Health Care             2.9%   

Start Today Co., Ltd.

   Consumer Discretionary             2.8%   

MISUMI Group, Inc.

   Industrials             2.5%   

Tokio Marine Holdings, Inc.

   Financials             2.5%   

ORIX Corp.

   Financials             2.4%   

Pigeon Corp.

   Consumer Staples             2.4%   

Nitori Holdings Co., Ltd.

   Consumer Discretionary             2.4%   

Keyence Corp.

   Information Technology             2.4%   

Ryohin Keikaku Co., Ltd.

   Consumer Discretionary             2.4%   

% OF ASSETS IN TOP TEN

               25.6%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

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Table of Contents
   
SECTOR ALLOCATION (%)7      
Industrials     21.8   
Consumer Discretionary     19.3   
Consumer Staples     17.3   
Financials     14.2   
Health Care     12.0   
Information Technology     10.4   
Materials     1.5   
Cash and Other Assets, Less Liabilities     3.5   

 

   
MARKET CAP EXPOSURE (%)7      
Mega Cap (over $25B)     11.1   
Large Cap ($10B–$25B)     24.6   
Mid Cap ($3B–10B)     26.0   
Small Cap (under $3B)     34.8   
Cash and Other Assets, Less Liabilities     3.5   

 

7 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

Matthews Japan Fund

Portfolio Manager Commentary  (unaudited) (continued)

furniture retailer in Japan, Nitori has been consolidating market share in the country by expanding further into urban areas and delivering innovative products that have stimulated consumer demand. Nitori also plans to steadily increase its presence in China where, we believe, they have an advantage in terms of product offering, perception of quality and price in a very fragmented Chinese furniture retail industry. As a major importer, Nitori stands to benefit from a stronger yen over time.

Outlook:

We maintain a cautious view on the prospects for Japan’s economy given the sharp appreciation of the yen and weak global economic fundamentals. Though we are encouraged by signs of improved corporate governance as evidenced by robust share buyback activity, the stronger currency and uncertainties arising from the Brexit vote may prompt companies to curtail future investments. The corporate savings rate in Japan has been steadily rising over the last year and, in the past this has been a leading indicator of declining prices. Given these trends, we believe the Abe administration will announce a supplemental spending package in the fall to support domestic economic activity. That may be combined with further unconventional monetary stimulus measures from the Bank of Japan.

Despite the rather unattractive macro picture, we remain encouraged by the long-term growth prospects of our portfolio companies. We intend to take full advantage of the flexibility afforded by our active bottom-up approach to seek investment in companies that are leveraged to structural trends within Japan and broadly in Asia, capturing unique growth opportunities which are less affected by economic cyclicality. We believe this approach can benefit patient investors over the long term.

 

 

72    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Japan Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: JAPAN: 96.5%

 

     Shares     Value  
INDUSTRIALS: 21.8%    

Machinery: 6.7%

   

Komatsu, Ltd.

    4,056,000        $70,459,520   

Harmonic Drive Systems, Inc.

    2,222,900        63,216,244   

SMC Corp.

    205,800        50,632,185   

Mitsubishi Heavy Industries, Ltd.

    10,522,000        42,311,290   
   

 

 

 
      226,619,239   
   

 

 

 
   

Professional Services: 4.1%

   

TechnoPro Holdings, Inc.†

    2,312,000        71,991,926   

Nomura Co., Ltd.

    2,405,500        36,114,885   

Benefit One, Inc.

    939,100        28,120,014   
   

 

 

 
      136,226,825   
   

 

 

 
   

Electrical Equipment: 3.8%

   

Nidec Corp.

    899,100        68,442,209   

Mabuchi Motor Co., Ltd.

    1,397,500        59,190,757   
   

 

 

 
      127,632,966   
   

 

 

 
   

Trading Companies & Distributors: 3.8%

   

MISUMI Group, Inc.

    4,725,000        85,308,530   

MonotaRO Co., Ltd.

    1,259,700        41,646,874   
   

 

 

 
      126,955,404   
   

 

 

 
   

Building Products: 2.3%

   

Daikin Industries, Ltd.

    504,500        42,400,590   

Aica Kogyo Co., Ltd.

    1,557,600        35,596,347   
   

 

 

 
      77,996,937   
   

 

 

 
   

Road & Rail: 1.1%

   

Trancom Co., Ltd.†

    547,500        36,137,592   
   

 

 

 
   

Air Freight & Logistics: 0.0%

   

AIT Corp.

    26,600        215,445   
   

 

 

 

Total Industrials

      731,784,408   
   

 

 

 
   
CONSUMER DISCRETIONARY: 19.3%                

Specialty Retail: 4.0%

   

Nitori Holdings Co., Ltd.

    665,000        80,653,912   

VT Holdings Co., Ltd.

    5,505,300        25,240,101   

Sac’s Bar Holdings, Inc.†

    1,810,350        17,710,741   

Workman Co., Ltd.

    342,000        11,490,542   
   

 

 

 
      135,095,296   
   

 

 

 
   

Household Durables: 2.9%

   

Fujitsu General, Ltd.

    2,716,000        60,492,807   

Casio Computer Co., Ltd.

    2,656,300        38,251,341   
   

 

 

 
      98,744,148   
   

 

 

 
   

Internet & Catalog Retail: 2.8%

   

Start Today Co., Ltd.

    1,765,200        93,306,135   
   

 

 

 
   

Multiline Retail: 2.4%

   

Ryohin Keikaku Co., Ltd.

    328,700        80,103,403   
   

 

 

 
   

Hotels, Restaurants & Leisure: 1.6%

   

Kyoritsu Maintenance Co., Ltd.

    809,700        54,223,992   
   

 

 

 
   

Media: 1.5%

   

Next Co., Ltd.

    5,760,000        51,552,944   
   

 

 

 
   

Automobiles: 1.5%

   

Toyota Motor Corp.

    1,003,200        49,456,293   
   

 

 

 
   
     Shares     Value  

Auto Components: 1.4%

   

Nifco, Inc.

    891,500        $46,743,478   
   

 

 

 
   

Distributors: 1.2%

   

Doshisha Co., Ltd.†

    2,092,800        40,205,827   
   

 

 

 

Total Consumer Discretionary

      649,431,516   
   

 

 

 
   
CONSUMER STAPLES: 17.3%                

Food & Staples Retailing: 6.6%

   

Seven & I Holdings Co., Ltd.

    1,691,800        70,933,983   

Sundrug Co., Ltd.

    667,700        62,693,687   

San-A Co., Ltd.

    1,052,400        51,933,117   

Cosmos Pharmaceutical Corp.

    173,100        34,877,288   
   

 

 

 
      220,438,075   
   

 

 

 
   

Food Products: 3.1%

   

Calbee, Inc.

    1,624,100        67,945,749   

Ariake Japan Co., Ltd.

    635,100        37,811,248   
   

 

 

 
      105,756,997   
   

 

 

 
   

Personal Products: 3.0%

   

Kao Corp.

    1,703,000        99,186,395   
   

 

 

 
   

Household Products: 2.4%

   

Pigeon Corp.

    2,724,700        81,453,446   
   

 

 

 
   

Tobacco: 2.2%

   

Japan Tobacco, Inc.

    1,851,100        74,603,409   
   

 

 

 

Total Consumer Staples

      581,438,322   
   

 

 

 
   
FINANCIALS: 14.2%                

Diversified Financial Services: 7.5%

   

ORIX Corp.

    6,364,300        82,357,012   

Zenkoku Hosho Co., Ltd.

    1,471,600        53,749,499   

Financial Products Group Co., Ltd.†

    4,966,900        51,275,622   

Century Tokyo Leasing Corp.

    1,267,200        41,010,680   

eGuarantee, Inc.†

    800,000        25,442,790   
   

 

 

 
      253,835,603   
   

 

 

 
   

Insurance: 2.5%

   

Tokio Marine Holdings, Inc.

    2,562,200        85,298,420   
   

 

 

 
   

Capital Markets: 2.4%

   

Nihon M&A Center, Inc.

    1,220,900        79,298,551   
   

 

 

 
   

Real Estate Management & Development: 1.8%

  

Relo Group, Inc.

    335,700        59,416,405   
   

 

 

 

Total Financials

      477,848,979   
   

 

 

 
   
HEALTH CARE: 12.0%                

Health Care Equipment & Supplies: 9.1%

   

Asahi Intecc Co., Ltd.

    1,578,300        77,125,884   

Sysmex Corp.

    1,107,200        76,240,104   

Hoya Corp.

    1,975,900        70,571,230   

CYBERDYNE, Inc.b

    3,062,900        69,038,991   

Daiken Medical Co., Ltd.†

    1,755,200        13,349,807   
   

 

 

 
      306,326,016   
   

 

 

 
   

Health Care Technology: 2.9%

   

M3, Inc.

    2,816,600        98,299,295   
   

 

 

 
   

Health Care Providers & Services: 0.0%

   

WIN-Partners Co., Ltd.

    52,600        723,341   
   

 

 

 

Total Health Care

      405,348,652   
   

 

 

 
 

 

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Table of Contents

Matthews Japan Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

COMMON EQUITIES: JAPAN (continued)

 

     Shares     Value  
INFORMATION TECHNOLOGY: 10.4%    

Electronic Equipment, Instruments & Components: 4.2%

  

Keyence Corp.

    117,400        $80,105,371   

Murata Manufacturing Co., Ltd.

    532,400        59,689,839   
   

 

 

 
      139,795,210   
   

 

 

 

Internet Software & Services: 4.0%

   

Kakaku.com, Inc.

    3,279,800        65,168,592   

DeNA Co., Ltd.

    1,508,900        35,298,470   

Infomart Corp.†

    3,737,500        34,224,891   
   

 

 

 
      134,691,953   
   

 

 

 

Software: 1.6%

   

NSD Co., Ltd.

    2,150,500        34,263,924   

Broadleaf Co., Ltd.†

    2,162,000        19,925,737   
   

 

 

 
      54,189,661   
   

 

 

 

Technology Hardware, Storage & Peripherals: 0.6%

  

Elecom Co., Ltd.

    1,039,600        21,619,152   
   

 

 

 

Total Information Technology

      350,295,976   
   

 

 

 
   
MATERIALS: 1.5%                

Chemicals: 1.5%

   

MORESCO Corp.

    318,200        3,402,573   

W-Scope Corp.†

    1,999,600        47,302,919   
   

 

 

 

Total Materials

      50,705,492   
   

 

 

 
   
TOTAL INVESTMENTS: 96.5%             3,246,853,345   

(Cost $2,806,633,772c)

   
   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 3.5%
      116,143,653   
   

 

 

 

NET ASSETS: 100.0%

      $3,362,996,998   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $2,806,865,602 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $545,711,029   

Gross unrealized depreciation

    (105,723,286
 

 

 

 

Net unrealized appreciation

    $439,987,743   
 

 

 

 

 

Affiliated Issuer, as defined under the Investment Company Act of 1940 (ownership of 5% or more of the outstanding voting securities of this issuer)

See accompanying notes to financial statements.

 

 

74    MATTHEWS ASIA FUNDS


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Michael J. Oh, CFA    

Lead Manager

   
Michael B. Han, CFA  

Co-Manager

   
FUND FACTS
    Investor   Institutional      

Ticker

  MAKOX   MIKOX

CUSIP

  577130305   577130826

Inception

  1/3/95   10/29/10

NAV

  $6.13   $6.17

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

 

1.10%

 

0.93%

Portfolio Statistics

Total # of Positions

  53

Net Assets

 

$163.9 million

Weighted Average
Market Cap

 

$28.3 billion

Portfolio Turnover2

 

20.36%

Benchmark

Korea Composite Stock Price Index

OBJECTIVE

 

 

Long-term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in the common and preferred stocks of companies located in South Korea.

Matthews Korea Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Korea Fund returned –0.33% (Investor Class) and –0.16% (Institutional Class) while its benchmark, the Korea Composite Stock Price Index*, returned 2.74%. For the quarter ending June 30, the Fund returned 0.16% (Investor Class) and 0.33% (Institutional Class) while its benchmark returned –2.12%.

Market Environment:

The Korean market performed reasonably well given the macroeconomic uncertainties stemming from slowing growth in China and the unexpected result of Britain’s referendum vote to leave the European Union. Even as global market volatility picked up and North Korea continued to test long-range missiles, Korean markets remained relatively calm. However, overall, exports continued to decline during the first half of the year mostly due to the slowing global economy. Imports fell more than exports resulting in a positive trade surplus.

Performance Contributors and Detractors:

LG Household & Health Care was the best performer during the first half of the year. The firm benefited from rising popularity for its cosmetics line among Chinese consumers. South Korean cosmetics are among the most popularly purchased products by Chinese tourists to South Korea. While LG has strong cosmetics brands, it also has broader personal care product brands that may be launched in China and other Asian markets in the future. Samsung Electronics was another strong performer for both the year-to-date and second quarter periods. Samsung’s new display technology—organic light-emitting diode (OLED)—is expected to replace the existing liquid crystal display (LCD) used in most smartphones today. Samsung is a few years ahead of its competitors in the OLED market, and we expect it will lead this space over the next few years. The firm also strengthened its position in the memory semiconductor industry with a newer chip design that improves product capacity but concurrently lowers production cost.

During the first half of the year, LG Chem was among the worst performers. While LG Chem’s traditional petrochemical business has been doing well, its battery business has been hurt by an uncertain outlook in China. The Chinese government has suspended Korean battery makers from participating in China’s electric vehicle subsidy program, which has caused the stock to underperform. Despite the uncertainty regarding its battery business in China, current valuations remain attractive, even excluding LG Chem’s battery business. The firm’s competitive position in batteries remains strong outside China.

We have traditionally been underweight the industrials and materials sectors in the portfolio, and that hurt the Fund’s relative performance in the first half of the year as such sectors rallied on the back of recovering commodity prices. However, we continue to underweight these sectors relative to the benchmark as we prefer to search for companies with sustainable business models and capable management teams.

Notable Portfolio Changes:

We added to our position in Samsung Electronics as we see OLED entering into a multi-year growth phase and we have seen Samsung’s position in the memory semiconductor industry strengthen. Samsung’s smartphone business also started to recover as the industry entered into a consolidation stage. We also increased the portfolio’s exposure to SK Hynix, a memory semiconductor supplier, as valuations for the stock had become attractive, and we believe that the fundamental competitive landscape has improved for existing companies.

 

* Korea Composite Stock Price Index performance data may be readjusted periodically by the Korea Exchange due to certain factors, including the declaration of dividends.

(continued)

 
1 Prospectus expense ratios.
2 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

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Table of Contents
               
PERFORMANCE AS OF JUNE 30, 2016                                                   
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Years      5 Years      10 Years      Since
Inception
     Inception
Date
 

Investor Class (MAKOX)

     0.16%         -0.33%         -0.83%         11.32%         6.09%         6.41%         6.13%         1/3/95   

Institutional Class (MIKOX)

     0.33%         -0.16%         -0.65%         11.52%         6.24%         n.a.         8.58%         10/29/10   

Korea Composite Stock Price Index3

     -2.12%         2.74%         -6.35%         3.00%         -1.46%         3.82%         2.79% 4    

Lipper Pacific ex Japan Funds Category Average5

     1.49%         2.44%         -7.73%         2.81%         0.84%         5.79%         5.92% 4    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted monthly. The performance data and graph do not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  3 Korea Composite Stock Price Index performance data may be readjusted periodically by the Korea Exchange due to certain factors, including the declaration of dividends. It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  4 Calculated from 1/3/95.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                     
     Sector             % of Net Assets  
Samsung Electronics Co., Ltd., Pfd.    Information Technology             5.8%   
LG Household & Health Care, Ltd., Pfd.    Consumer Staples             5.2%   
Samsung Electronics Co., Ltd.    Information Technology             4.7%   
Shinhan Financial Group Co., Ltd.    Financials             3.6%   
Amorepacific Corp., Pfd.    Consumer Staples             3.5%   
Samsung Fire & Marine Insurance Co., Ltd., Pfd.    Financials             3.4%   
BGF Retail Co., Ltd.    Consumer Staples             3.2%   
Naver Corp.    Information Technology             3.0%   
Dongbu Insurance Co., Ltd.    Financials             2.9%   
Hyundai Mobis Co., Ltd.    Consumer Discretionary             2.8%   
% OF ASSETS IN TOP TEN                38.1%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

76    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Korea Fund

Portfolio Manager Commentary  (unaudited) (continued)

 

Outlook:

The Korean market continues to be resilient on the back of global macro uncertainties stemming from the Brexit vote. Japan’s yen has strengthened more than 15% this year while the Korean won gained only about 1%, which has improved sentiment among Korea’s export industry. We expect Korea to remain relatively resilient given Korean corporates’ sound balance sheet. We continue to search for companies with sustainable business models and capable management that stand to benefit from Korea’s and the region’s rising disposable income and changing lifestyle.

 
SECTOR ALLOCATION (%)7  
Consumer Staples     22.6   
Consumer Discretionary     21.2   
Financials     19.3   
Information Technology     18.1   
Materials     5.7   
Health Care     5.3   
Telecommunication Services     4.0   
Energy     3.4   
Industrials     3.2   
Liabilities in Excess of Cash and Other Assets     -2.8   

 

 
MARKET CAP EXPOSURE (%)7  
Mega Cap (over $25B)     12.7   
Large Cap ($10B–$25B)     37.1   
Mid Cap ($3B–10B)     22.1   
Small Cap (under $3B)     30.9   
Liabilities in Excess of Cash and Other Assets     -2.8   

 

7 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.
 

 

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Table of Contents

Matthews Korea Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: SOUTH KOREA: 77.2%

 

     Shares     Value  
CONSUMER DISCRETIONARY: 19.1%    

Auto Components: 5.4%

   

Hyundai Mobis Co., Ltd.

    20,551        $4,521,290   

Hankook Tire Co., Ltd.

    98,194        4,368,689   
   

 

 

 
      8,889,979   
   

 

 

 
   

Hotels, Restaurants & Leisure: 5.1%

   

Kangwon Land, Inc.

    115,477        4,190,088   

Modetour Network, Inc.

    173,431        4,186,133   
   

 

 

 
      8,376,221   
   

 

 

 
   

Media: 2.8%

   

Innocean Worldwide, Inc.

    39,601        2,804,431   

CJ CGV Co., Ltd.

    18,344        1,662,947   
   

 

 

 
      4,467,378   
   

 

 

 
   

Specialty Retail: 2.7%

   

Hotel Shilla Co., Ltd.

    39,910        2,367,906   

LOTTE Himart Co., Ltd.

    50,482        2,032,273   
   

 

 

 
      4,400,179   
   

 

 

 
   

Automobiles: 1.6%

   

Kia Motors Corp.

    70,459        2,654,853   
   

 

 

 
   

Multiline Retail: 1.5%

   

Hyundai Department Store Co., Ltd.

    22,042        2,479,752   
   

 

 

 

Total Consumer Discretionary

      31,268,362   
   

 

 

 
   
FINANCIALS: 15.9%                

Banks: 7.5%

   

Shinhan Financial Group Co., Ltd.

    179,704        5,906,692   

KB Financial Group, Inc.

    88,657        2,521,047   

Hana Financial Group, Inc.

    109,716        2,230,624   

DGB Financial Group, Inc.

    219,295        1,660,572   
   

 

 

 
      12,318,935   
   

 

 

 
   

Capital Markets: 4.3%

   

Shinyoung Securities Co., Ltd.

    85,208        3,698,733   

Kiwoom Securities Co., Ltd.

    52,812        3,304,826   
   

 

 

 
      7,003,559   
   

 

 

 
   

Insurance: 4.1%

   

Dongbu Insurance Co., Ltd.

    78,974        4,753,488   

Samsung Fire & Marine Insurance Co., Ltd.

    8,486        1,949,064   
   

 

 

 
      6,702,552   
   

 

 

 

Total Financials

      26,025,046   
   

 

 

 
   
CONSUMER STAPLES: 13.1%                

Food Products: 6.4%

   

Orion Corp.

    4,706        3,862,801   

Binggrae Co., Ltd.

    41,850        2,468,130   

Daesang Corp.

    93,319        2,243,847   

Ottogi Corp.

    2,692        1,932,237   
   

 

 

 
      10,507,015   
   

 

 

 
   

Food & Staples Retailing: 5.0%

   

BGF Retail Co., Ltd.

    28,429        5,293,330   

Hyundai Greenfood Co., Ltd.

    179,318        2,908,891   
   

 

 

 
      8,202,221   
   

 

 

 
   
     Shares     Value  

Personal Products: 1.7%

   

LG Household & Health Care, Ltd.

    2,930        $2,861,308   
   

 

 

 

Total Consumer Staples

      21,570,544   
   

 

 

 
   
INFORMATION TECHNOLOGY: 11.5%                

Technology Hardware, Storage & Peripherals: 4.7%

  

 

Samsung Electronics Co., Ltd.

    6,145        7,652,684   
   

 

 

 
   

Semiconductors & Semiconductor Equipment: 3.6%

  

 

SK Hynix, Inc.

    110,913        3,156,250   

Koh Young Technology, Inc.

    38,878        1,388,871   

Silicon Works Co., Ltd.

    46,849        1,353,676   
   

 

 

 
      5,898,797   
   

 

 

 
   

Internet Software & Services: 3.0%

   

Naver Corp.

    8,027        4,972,856   
   

 

 

 
   

Electronic Equipment, Instruments & Components: 0.2%

  

Bixolon Co., Ltd.

    27,282        331,636   
   

 

 

 

Total Information Technology

      18,855,973   
   

 

 

 
   
HEALTH CARE: 5.3%                

Pharmaceuticals: 4.5%

   

Yuhan Corp.

    11,775        3,146,618   

Dong-A ST Co., Ltd.

    23,211        2,750,713   

DongKook Pharmaceutical Co., Ltd.

    24,611        1,546,022   
   

 

 

 
      7,443,353   
   

 

 

 
   

Biotechnology: 0.8%

   

Hugel, Inc.b

    4,507        1,250,204   
   

 

 

 

Total Health Care

      8,693,557   
   

 

 

 
   
TELECOMMUNICATION SERVICES: 4.0%                

Wireless Telecommunication Services: 2.5%

   

SK Telecom Co., Ltd. ADR

    193,700        4,052,204   
   

 

 

 
   

Diversified Telecommunication Services: 1.5%

   

KT Corp. ADR

    177,000        2,524,020   
   

 

 

 

Total Telecommunication Services

      6,576,224   
   

 

 

 
   
INDUSTRIALS: 3.1%                

Commercial Services & Supplies: 1.2%

   

KEPCO Plant Service & Engineering Co., Ltd.

    36,538        2,065,758   
   

 

 

 
   

Machinery: 1.1%

   

Hy-Lok Corp.

    90,946        1,754,462   
   

 

 

 
   

Professional Services: 0.8%

   

SaraminHR Co., Ltd.

    103,858        1,356,210   
   

 

 

 

Total Industrials

      5,176,430   
   

 

 

 
   
MATERIALS: 3.0%                

Metals & Mining: 1.9%

   

Korea Zinc Co., Ltd.

    7,069        3,134,744   
   

 

 

 
   

Chemicals: 1.1%

   

LG Chem, Ltd.

    7,615        1,739,028   
   

 

 

 

Total Materials

      4,873,772   
   

 

 

 
   
 

 

78    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Korea Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

COMMON EQUITIES: SOUTH KOREA (continued)

 

     Shares     Value  
ENERGY: 2.2%    

Oil, Gas & Consumable Fuels: 2.2%

   

SK Innovation Co., Ltd.

    17,993        $2,216,994   

S-Oil Corp.

    20,074        1,330,287   
   

 

 

 

Total Energy

      3,547,281   
   

 

 

 
   
TOTAL COMMON EQUITIES        126,587,189   
   

 

 

 

(Cost $87,943,633)

  

 
   

PREFERRED EQUITIES: SOUTH KOREA: 25.6%

  

 
CONSUMER STAPLES: 9.4%                

Personal Products: 9.4%

  

LG Household & Health Care, Ltd., Pfd.

    14,842        8,546,516   

Amorepacific Corp., Pfd.

    26,587        5,739,938   

AMOREPACIFIC Group, Pfd.

    17,463        1,190,072   
   

 

 

 

Total Consumer Staples

      15,476,526   
   

 

 

 
   
INFORMATION TECHNOLOGY: 6.6%                

Technology Hardware, Storage & Peripherals: 5.9%

  

 

Samsung Electronics Co., Ltd., Pfd.

    9,286        9,579,322   
   

 

 

 
   

Electronic Equipment, Instruments & Components: 0.7%

  

Samsung SDI Co., Ltd., Pfd.

    21,382        1,152,361   
   

 

 

 

Total Information Technology

      10,731,683   
   

 

 

 
   
FINANCIALS: 3.4%                

Insurance: 3.4%

   

Samsung Fire & Marine Insurance Co., Ltd., Pfd.

    36,454        5,528,179   
   

 

 

 

Total Financials

      5,528,179   
   

 

 

 
   
MATERIALS: 2.7%                

Chemicals: 2.7%

   

LG Chem, Ltd., Pfd.

    26,648        4,448,246   
   

 

 

 

Total Materials

      4,448,246   
   

 

 

 
   
CONSUMER DISCRETIONARY: 2.1%                

Automobiles: 2.1%

   

Hyundai Motor Co., Ltd., 2nd Pfd.

    41,663        3,499,209   
   

 

 

 

Total Consumer Discretionary

      3,499,209   
   

 

 

 
   
     Shares     Value  
ENERGY: 1.4%    

Oil, Gas & Consumable Fuels: 1.4%

   

S-Oil Corp., Pfd.

    50,188        $2,260,043   
   

 

 

 

Total Energy

      2,260,043   
   

 

 

 
   
TOTAL PREFERRED EQUITIES             41,943,886   
   

 

 

 

(Cost $22,680,753)

   
   
TOTAL INVESTMENTS: 102.8%             168,531,075   

(Cost $110,624,386c)

   
   
LIABILITIES IN EXCESS OF CASH AND OTHER ASSETS: (2.8%)       (4,662,067
   

 

 

 

NET ASSETS: 100.0%

      $163,869,008   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $111,533,523 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $61,498,809   

Gross unrealized depreciation

    (4,501,257
 

 

 

 

Net unrealized appreciation

    $56,997,552   
 

 

 

 

 

ADR American Depositary Receipt

 

Pfd. Preferred

See accompanying notes to financial statements.

 

 

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Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Lydia So, CFA     

Lead Manager

    
Kenichi Amaki      Beini Zhou, CFA

Co-Manager

     Co-Manager
FUND FACTS
    Investor   Institutional  

Ticker

  MSMLX   MISMX

CUSIP

  577125206   577125867

Inception

  9/15/08   4/30/13

NAV

  $19.28   $19.29

Initial Investment

  $2,500   $3 million

Gross Expense Ratio1

 

1.48%

 

1.30%

After Fee Waiver and Reimbursement2

  1.47%   1.25%

Portfolio Statistics

 

Total # of Positions

  74

Net Assets

 

$540.1 million

Weighted Average
Market Cap

 

$1.1 billion

Portfolio Turnover3

 

48.29%

Benchmark

 

MSCI AC Asia ex Japan Small Cap Index

Redemption Fee

 

2% within first 90 calendar days of purchase

OBJECTIVE

 

 

Long-term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in the common and preferred stocks of Small Companies located in Asia ex Japan, which consists of all countries and markets in Asia excluding Japan, but including all other developed, emerging and frontier countries and markets in the Asian region.

Matthews Asia Small Companies Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews Asia Small Companies Fund returned –0.67% (Investor Class) and –0.57% (Institutional Class) while its benchmark, the MSCI All Country Asia ex Japan Small Cap Index, returned –1.77%. For the quarter ending June 30, 2016, the Matthews Asia Small Companies Fund returned 0.52% (Investor Class) and 0.57% (Institutional Class), while its benchmark, the MSCI All Country Asia ex Japan Small Cap Index, returned –0.22%.

Market Environment:

After a roller-coaster ride to the start of the first quarter, equity markets continued to be sensitive to global macroeconomic events in the second quarter. The prospect of global deflation persisted while weak economic data released from China did not inspire confidence in a near-term economic rebound.

Toward the end of June, the United Kingdom passed a referendum to leave the European Union. The news sent global capital markets into panic mode as the event was unexpected, not priced in by markets and considered a “Black Swan” event. Although global equity markets stabilized in subsequent days, Brexit added more uncertainty to already fragile economic sentiment in Europe. Asian equity markets also sold off on the Brexit announcement but recovered somewhat in subsequent days as markets digested the news. Both the euro and British pound depreciated against the U.S. dollar following the Brexit announcement.

Performance Contributors and Detractors:

During the quarter, our Southeast Asian portfolio holdings, not including Malaysia, performed better relative to our holdings in North Asia. Holdings in information technology, materials, consumer staples and financials were positive contributors, whereas some holdings in consumer discretionary performed poorly. For example, China Distance Education, a Chinese internet-based education company, was the largest performance detractor. The company delivered below market expectation earnings results and a subdued growth outlook on the back of weak demand for test preparation courses for accounting and engineering in a slowing economy.

On the other hand, our long-term holdings in Sunny Optical Technology, ARA Asset Management and Fairwood Holdings performed well. These holdings were top contributors during the quarter thanks to strong operational performance that translated into solid earnings growth. It is encouraging to see these companies performing well in their respective industries in the midst of a slow-growth environment.

Notable Portfolio Changes:

We made a few adjustments to the portfolio during the quarter by shedding holdings that performed below our expectations. We exited Ipca Laboratories, an Indian pharmaceutical holding, due to concerns surrounding regulatory issues. The U.S. FDA issued warning letters to several of Ipca’s facilities, which would negatively affect the company’s ability to export its products to key markets. We feel that the resolution process could be time consuming and hence erode the company’s growth visibility.

(continued)

 
1 Prospectus expense ratios.
2 Matthews has contractually agreed (i) to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) of the Institutional Class to 1.25% first by waiving class specific expenses (i.e., shareholder service fees specific to a particular class) of the Institutional Class and then, to the extent necessary, by waiving non-class specific expenses of the Institutional Class, and (ii) if any Fund-wide expenses (i.e., expenses that apply to both the Institutional Class and the Investor Class) are waived for the Institutional Class to maintain the 1.25% expense limitation, to waive an equal amount (in annual percentage terms) of those same expenses for the Investor Class. The Total Annual Fund Operating Expenses After Fee Waiver and Expense Reimbursement for the Investor Class may vary from year to year and will in some years exceed 1.25%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.
3 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

80    MATTHEWS ASIA FUNDS


Table of Contents
               
PERFORMANCE AS OF JUNE 30, 2016                                                 
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
    

3 Months

    

YTD

    

1 Year

    

3 Years

    

5 Years

    

Since
Inception

     Inception
Date
 
Investor Class (MSMLX)      0.52%         -0.67%         -15.10%         1.27%         0.73%         11.36%         9/15/2008   
Institutional Class (MISMX)      0.57%         -0.57%         -14.89%         1.50%         n.a.         0.28%         4/30/2013   
MSCI AC Asia ex Japan Small Cap Index4      -0.22%         -1.77%         -14.70%         1.30%         -0.57%         7.18% 5    
Lipper Pacific ex Japan Funds Category Average6      1.49%         2.44%         -7.73%         2.81%         0.84%         7.26% 7    

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted monthly. The performance data does not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  4 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  5 Calculated from 9/15/08.

 

  6 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

  7 Calculated from 9/30/08.

 

       
TOP TEN HOLDINGS8                     
     Sector      Country      % of Net Assets  
Vitasoy International Holdings, Ltd.    Consumer Staples      China/Hong Kong        2.8%   
Fairwood Holdings, Ltd.    Consumer Discretionary      China/Hong Kong        2.7%   
PChome Online, Inc.    Information Technology      Taiwan        2.5%   
Aerospace Industrial Development Corp.    Industrials      Taiwan        2.3%   
ARA Asset Management, Ltd.    Financials      Singapore        2.3%   
i-SENS, Inc.    Health Care      South Korea        1.9%   
Value Partners Group, Ltd.    Financials      China/Hong Kong        1.9%   
Clear Media, Ltd.    Consumer Discretionary      China/Hong Kong        1.9%   
Lifetech Scientific Corp.    Health Care      China/Hong Kong        1.9%   

Delfi, Ltd.

   Consumer Staples      Singapore        1.8%   
% OF ASSETS IN TOP TEN                22.0%   

 

  8 Holdings may combine more than one security from same issuer and related depositary receipts.

 

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Table of Contents
   
COUNTRY ALLOCATION (%)9,10      
China/Hong Kong     26.9   
Taiwan     14.8   
South Korea     13.5   
India     13.5   
Thailand     6.7   
Singapore     6.6   
Indonesia     6.2   
Malaysia     4.2   
Philippines     3.5   
Vietnam     0.8   
Cash and Other Assets, Less Liabilities     3.3   

 

   
SECTOR ALLOCATION (%)10      
Industrials     20.7   
Consumer Discretionary     19.1   
Information Technology     14.8   
Financials     13.3   
Consumer Staples     13.1   
Health Care     11.6   
Materials     4.1   
Cash and Other Assets, Less Liabilities     3.3   

 

   
MARKET CAP EXPOSURE (%)10,11      
Mega Cap (over $25B)     0.0   
Large Cap ($10B–$25B)     0.0   
Mid Cap ($3B–10B)     4.0   
Small Cap (under $3B)     92.7   
Cash and Other Assets, Less Liabilities     3.3   

 

9 Not all countries where the Fund may invest are included in the benchmark index.

 

10 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

 

11 The Fund defines Small Companies as companies with market capitalization generally between $100 million and $3 billion or the largest company included in the Fund’s primary benchmark, the MSCI All Country Asia ex Japan Small Cap Index.

Matthews Asia Small Companies Fund

Portfolio Manager Commentary  (unaudited) (continued)

We initiated new positions in companies that, we believe, are beneficiaries of evolving consumption trends, including Macauto Industrial. The Taiwanese company is a manufacturer of automotive sunshades, which has been growing nicely due to the greater penetration of sunroofs in new cars and respectable profitability as a result of competitive cost structure and technologies. Another new addition to the portfolio was Yonwoo in South Korea. The company specializes in manufacturing packaging materials such as pumps and tubes for cosmetic companies in Korea and globally. We like Yonwoo’s focus on product quality, its close relationship with cosmetic brands and its prudent expansion plans. We believe the company should be well-positioned given the rising consumption of skin care and color cosmetic products in the emerging parts of Asia.

Outlook:

The uncertainty over Brexit’s political transmission mechanism will likely linger in the coming months. In addition, the anxiety surrounding the potential social and economic impact resulting from Brexit will continue to weigh on the economy and financial markets in the European region. Within Asia, companies that have meaningful exposure to European markets may face a more challenging operating environment and volatile currency movements.

From our portfolio’s perspective, we have a long-standing bias toward investing in companies that are beneficiaries of Asia’s domestic demand. To be fair, parts of Asia have also experienced their fair share of political issues and rising debt levels in recent years, thereby, dampening consumer sentiment and stock performance. Macroeconomic noise is beyond our control but sharp market corrections present a buying opportunity to invest in quality companies at more attractive valuations. We reiterate that Asia’s secular development of domestic service industries and the adoption of technologies in households and businesses present strong growth opportunities. We continue to have conviction in companies in our portfolio that are prudent capital allocators and are well-positioned to adapt to Asia’s dynamic consumption landscape.

Investing in small- and mid-size companies is more risky than investing in large companies as they may be more volatile and less liquid than larger companies.

 

 

82    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Small Companies Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 96.7%

 

     Shares     Value  
CHINA/HONG KONG: 26.9%    

Vitasoy International Holdings, Ltd.

    8,458,000        $15,386,532   

Fairwood Holdings, Ltd.

    3,767,500        14,589,660   

Value Partners Group, Ltd.

    11,123,000        10,299,835   

Clear Media, Ltd.

    11,595,000        10,134,686   

Lifetech Scientific Corp.b

    54,248,000        10,112,933   

Sunny Optical Technology Group Co., Ltd.

    2,804,000        9,872,459   

Bitauto Holdings, Ltd. ADRb

    339,300        9,147,528   

SITC International Holdings Co., Ltd.

    15,951,000        8,390,957   

Qingdao Port International Co., Ltd. H Shares

    17,665,000        8,047,914   

Kerry Logistics Network, Ltd.

    6,012,500        7,769,229   

51job, Inc. ADRb

    243,000        7,122,330   

Best Pacific International Holdings, Ltd. H Shares

    9,110,000        6,828,975   

eHi Car Services, Ltd. ADRb

    662,035        6,693,174   

Genscript Biotech Corp.b

    38,918,000        6,028,957   

Regina Miracle International Holdings, Ltd.b

    4,157,052        5,516,389   

China Distance Education Holdings, Ltd. ADR

    508,400        5,256,856   

YGM Trading, Ltd.

    5,383,000        2,879,500   

IMAX China Holding, Inc.b

    208,000        1,026,541   
   

 

 

 

Total China/Hong Kong

      145,104,455   
   

 

 

 
   
TAIWAN: 14.8%                

PChome Online, Inc.

    1,228,241        13,614,701   

Aerospace Industrial Development Corp.

    9,035,000        12,393,075   

Merida Industry Co., Ltd.

    1,965,000        8,319,829   

Adlink Technology, Inc.

    3,895,051        8,094,116   

Sunny Friend Environmental Technology Co., Ltd.

    1,600,000        7,580,130   

Addcn Technology Co., Ltd.

    1,019,500        7,498,901   

Macauto Industrial Co., Ltd.

    1,234,000        6,310,359   

Voltronic Power Technology Corp.

    406,848        5,687,314   

FineTek Co., Ltd.

    1,862,940        4,322,761   

Kerry TJ Logistics Co., Ltd.

    2,864,000        3,762,747   

Poya International Co., Ltd.

    209,000        2,330,667   
   

 

 

 

Total Taiwan

      79,914,600   
   

 

 

 
   
SOUTH KOREA: 13.5%                

i-SENS, Inc.b

    324,337        10,393,686   

NICE Holdings Co., Ltd.

    449,430        8,141,328   

Yonwoo Co., Ltd.b

    167,375        6,873,014   

Hy-Lok Corp.

    342,710        6,611,304   

LIG Nex1 Co., Ltd.

    75,670        6,430,211   

Value Added Technologies Co., Ltd.

    195,360        6,408,705   

Silicon Works Co., Ltd.

    215,013        6,212,681   

Interpark Corp.

    395,033        5,689,540   

Dexter Studios Co., Ltd.b

    314,884        5,574,104   

Cell Biotech Co., Ltd.

    104,679        5,467,779   

Medy-Tox, Inc.

    14,135        5,346,083   
   

 

 

 

Total South Korea

      73,148,435   
   

 

 

 
   
     Shares     Value  
INDIA: 13.5%    

GRUH Finance, Ltd.

    1,986,143        $8,462,166   

Supreme Industries, Ltd.

    586,973        7,958,331   

Berger Paints India, Ltd.

    1,799,106        7,381,556   

Bajaj Corp., Ltd.

    1,228,277        7,086,537   

Mindtree, Ltd.

    710,104        7,010,127   

AIA Engineering, Ltd.

    451,471        6,894,827   

CRISIL, Ltd.

    219,411        6,553,124   

Page Industries, Ltd.

    29,960        6,234,259   

LA Opala RG, Ltd.

    645,536        5,286,395   

Emami, Ltd.

    308,348        5,040,350   

Gujarat Pipavav Port, Ltd.b

    2,036,929        4,937,721   
   

 

 

 

Total India

      72,845,393   
   

 

 

 
   
THAILAND: 6.7%                

KCE Electronics Public Co., Ltd.

    3,337,300        7,935,166   

Supalai Public Co., Ltd.

    10,179,500        6,940,906   

Bangkok Chain Hospital Public Co., Ltd.

    18,966,275        6,708,750   

Aeon Thana Sinsap Thailand Public Co., Ltd.

    2,234,400        6,120,120   

Forth Smart Service Public Co., Ltd.

    10,620,000        4,842,993   

Plan B Media Public Co., Ltd. F Shares

    22,287,900        3,370,244   

Aeon Thana Sinsap Thailand Public Co., Ltd. NVDR

    88,700        242,953   
   

 

 

 

Total Thailand

      36,161,132   
   

 

 

 
   
SINGAPORE: 6.6%                

ARA Asset Management, Ltd.

    11,869,818        12,175,459   

Delfi, Ltd.

    4,597,600        9,937,947   

Raffles Medical Group, Ltd.

    7,021,000        7,884,191   

iFAST Corp., Ltd.

    7,443,000        5,490,271   
   

 

 

 

Total Singapore

      35,487,868   
   

 

 

 
   
INDONESIA: 6.2%                

PT Sumber Alfaria Trijaya

    167,969,200        7,658,061   

PT Selamat Sempurna

    21,482,500        7,609,317   

PT Bank Tabungan Pensiunan Nasionalb

    33,715,400        6,302,898   

PT Astra Otoparts

    42,448,625        6,007,866   

PT Ultrajaya Milk Industry & Trading Co.b

    17,446,900        5,678,083   
   

 

 

 

Total Indonesia

      33,256,225   
   

 

 

 
   
MALAYSIA: 4.2%                

Karex BHD

    13,856,625        8,303,671   

7-Eleven Malaysia Holdings BHD

    23,095,300        7,772,185   

GD Express Carrier BHD

    18,008,900        6,902,789   
   

 

 

 

Total Malaysia

      22,978,645   
   

 

 

 
   
PHILIPPINES: 3.5%                

Concepcion Industrial Corp.

    8,191,900        8,183,629   

Security Bank Corp.

    1,666,597        6,817,991   

Philippine Seven Corp.

    1,454,751        3,815,848   
   

 

 

 

Total Philippines

      18,817,468   
   

 

 

 
   
 

 

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Table of Contents

Matthews Asia Small Companies Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

COMMON EQUITIES (continued)

 

     Shares     Value  
VIETNAM: 0.8%    

DHG Pharmaceutical JSC

    995,900        $4,599,072   
   

 

 

 

Total Vietnam

      4,599,072   
   

 

 

 
   
TOTAL INVESTMENTS: 96.7%             522,313,293   

(Cost $489,572,512c)

   
   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 3.3%
      17,751,057   
   

 

 

 

NET ASSETS: 100.0%

      $540,064,350   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2-A).

 

b Non-income producing security.

 

c Cost for federal income tax purposes is $490,069,442 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $93,174,716   

Gross unrealized depreciation

    (60,930,865
 

 

 

 

Net unrealized appreciation

    $32,243,851   
 

 

 

 

 

ADR American Depositary Receipt

 

BHD Berhad

 

JSC Joint Stock Co.

 

NVDR Non-voting Depositary Receipt

See accompanying notes to financial statements.

 

 

84    MATTHEWS ASIA FUNDS


Table of Contents

LOGO

 

PORTFOLIO MANAGERS
Tiffany Hsiao, CFA  

Lead Manager

 

Kenichi Amaki

 

Co-Manager

 
FUND FACTS
    Investor

Ticker

  MCSMX

CUSIP

  577125404

Inception

  5/31/11

NAV

  $8.27

Initial Investment

  $2,500

Gross Expense Ratio1

  2.10%

After Fee Waiver and Reimbursement2

  1.50%

Portfolio Statistics

 

Total # of Positions

  38

Net Assets

  $18.4 million

Weighted Average Market Cap

  $1.5 billion

Portfolio Turnover3

  72.49%

Benchmark

 

MSCI China Small Cap Index

Redemption Fee

 

2% within first 90 calendar days of purchase

OBJECTIVE

 

 

Long-term capital appreciation.

STRATEGY

 

 

Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its total net assets, which include borrowings for investment purposes, in the common and preferred stocks of Small Companies located in China. China includes its administrative and other districts, such as Hong Kong.

Matthews China Small Companies Fund

Portfolio Manager Commentary  (unaudited)

For the first half of 2016, the Matthews China Small Companies Fund returned –5.92% while its benchmark, the MSCI China Small Cap Index, retreated –10.67%. For the quarter ending June 30, the Fund returned 0.12% while its benchmark returned –1.85%.

Market Environment:

Global markets were off to a rough start in 2016 as declining oil prices triggered fears of widespread recession and default risk. The recovery in commodity prices during the early part of the second quarter drove markets higher as the risks of default across the energy and commodity complex were seemingly reduced. However, political uncertainty continued to play a big hand in volatility across global markets. Although China is not immune to global uncertainty, its equity markets fared relatively better—especially late in the second quarter. The Fund’s relative outperformance against the benchmark reflects the view that even if events, such as Brexit, trigger uncertainty about the future of the European Union, China has enough tools to muddle through the crisis. These tools include fiscal spending, interest rate adjustments and currency management. It also helps that China is still relatively insulated from global turbulence due to its capital flow restrictions. We expect China to remain focused on its own structural reform initiatives to transition from an investment-driven model to a consumption-driven one, amid external distractions.

Performance Contributors and Detractors:

During the first half of 2016, the biggest contributors to the Fund’s relative outperformance versus the benchmark were the consumer discretionary and industrial sectors due to good stock selection. The biggest drag on Fund’s relative performance came from holdings in the financials and health care sectors.

Two of our best-performing stocks were Sunny Optical Technology, a premier Chinese optical lens and module provider, and Minth Group, a leading branded auto parts manufacturer. Both Sunny Optical and Minth grew by diversifying and expanding their product categories and applications. They showed impressive, strong execution capabilities versus that of their competition.

Among our top detractors of Fund performance during the second quarter were Lee’s Pharmaceutical Holdings and China Biologic Products. Both are health care companies, which were impacted by policy uncertainty. We believe Chinese pharmaceutical companies will face increasing headwinds in the coming years as the government pushes through significant health care reforms. Being a relatively small player in this negative regulatory environment will be taxing on Lee’s growth. China Biologic Products is in a better position to defend its market share and profitability given that there is a shortage and demand for its products.

Notable Portfolio Changes:

We exited TAL Education Group during the quarter as the position had done well for us over the years, and we believed its market capitalization had surpassed our ideal level. We also exited our positions related to natural gas distribution and equipment given the persistent disappointment in both volumes and prices in that sector. Within the health care sector, we also repositioned our holdings toward companies that may be subject to less risk of drug price reforms. As a result, we exited our position in Lee’s Pharmaceutical Holdings.

(continued)

 
1 Prospectus expense ratios.
2 Matthews has contractually agreed to waive fees and reimburse expenses to the extent needed to limit Total Annual Fund Operating Expenses (excluding Rule 12b-1 fees, taxes, interest, brokerage commissions, short sale dividend expenses, expenses incurred in connection with any merger or reorganization or extraordinary expenses such as litigation) to 1.50%. If the operating expenses fall below the expense limitation in a year within three years after Matthews has made a waiver or reimbursement, the Fund may reimburse Matthews up to an amount that does not cause the expenses for that year to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. This agreement will remain in place until April 30, 2017 and may be terminated at any time by the Board of Trustees on behalf of the Fund on 60 days’ written notice to Matthews.
3 The lesser of fiscal year 2015 long-term purchase costs or sales proceeds divided by the average monthly market value of long-term securities.

 

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Table of Contents
               
PERFORMANCE AS OF JUNE 30, 2016                                                 
 

 

    

 

      

 

      

 

     Average Annual Total Returns       

 

 
     3 Months      YTD      1 Year      3 Years      5 Years      Since
Inception
     Inception
Date
 

Investor Class (MCSMX)

     0.12%         -5.92%         -15.96%         4.60%         -0.21%         -1.00%         5/31/2011   

MSCI China Small Cap Index4

     -1.85%         -10.67%         -27.94%         2.29%         -1.51%         -2.61%      

Lipper China Region Funds Category Average5

     -0.10%         -5.50%         -19.94%         3.18%         -0.21%         -0.95%      

Performance assumes reinvestment of all dividends and/or distributions before taxes. All performance quoted represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate with market conditions so that when redeemed, shares may be worth more or less than their original cost. Current performance may be lower or higher than the return figures quoted. Returns would have been lower if certain of the Fund’s fees and expenses had not been waived. For the Fund’s most recent month-end performance, visit matthewsasia.com.

 

 

GROWTH OF A $10,000 INVESTMENT SINCE INCEPTION—INVESTOR CLASS

LOGO

Plotted monthly. The performance data does not reflect the deduction of taxes that a shareholder would pay on dividends, capital gains distributions or redemption of Fund shares. Values are in US$.

 

  4 It is not possible to invest directly in an index. Source: Index data from Morgan Stanley Capital International and Bloomberg; total return calculations performed by BNY Mellon Investment Servicing (US) Inc. Please see page 91 for index definition.

 

  5 The Lipper Category Average does not reflect sales charges and is based on total return, including reinvestment of dividends and capital gains for the stated periods.

 

       
TOP TEN HOLDINGS6                     
     Sector             % of Net Assets  
Minth Group, Ltd.    Consumer Discretionary             4.7%   
Wuxi Little Swan Co., Ltd.    Consumer Discretionary             4.5%   
SITC International Holdings Co., Ltd.    Industrials             4.5%   
Voltronic Power Technology Corp.    Industrials             4.1%   
Value Partners Group, Ltd.    Financials             3.9%   
China Biologic Products, Inc.    Health Care             3.6%   
Yuexiu Transport Infrastructure, Ltd.    Industrials             3.6%   
KWG Property Holding, Ltd.    Financials             3.4%   
Sunny Optical Technology Group Co., Ltd.    Information Technology             3.2%   
Fairwood Holdings, Ltd.    Consumer Discretionary             3.2%   
% OF ASSETS IN TOP TEN                38.7%   

 

  6 Holdings may combine more than one security from same issuer and related depositary receipts.

 

86    MATTHEWS ASIA FUNDS


Table of Contents

Matthews China Small Companies Fund

Portfolio Manager Commentary  (unaudited) (continued)

 

Outlook:

Despite the macroeconomic uncertainty in China, the government is taking steps to correct its structural issues. This should provide a healthier macro outlook over the long run for businesses operating in China. For the time being, we continue to focus on innovative and capital-efficient small companies that stay relatively insulated from the macro slowdown. We will continue to focus on companies with sustainable quality earnings streams, strong cash flows and good balance sheets that can better weather uncertain economic conditions. We still find sectors, such as industrial automation, health care and increasingly consumer discretionary, to be among the most attractive from a secular growth perspective.

Investing in small- and mid-size companies is more risky than investing in large companies as they may be more volatile and less liquid than larger companies.

   
COUNTRY ALLOCATION (%)7      
China/Hong Kong     81.1   
Taiwan     10.6   
South Korea     2.0   
Cash and Other Assets, Less Liabilities     6.3   

 

   
SECTOR ALLOCATION (%)7      
Consumer Discretionary     29.4   
Industrials     29.0   
Health Care     13.3   
Financials     11.3   
Information Technology     8.3   
Consumer Staples     2.4   
Cash and Other Assets, Less Liabilities     6.3   

 

   
MARKET CAP EXPOSURE (%)7,8      
Mega Cap (over $25B)     0.0   
Large Cap ($10B–$25B)     0.0   
Mid Cap ($3B–10B)     7.9   
Small Cap (under $3B)     85.8   
Cash and Other Assets, Less Liabilities     6.3   

 

7 Source: FactSet Research Systems. Percentage values in data are rounded to the nearest tenth of one percent; the values may not sum to 100% due to rounding.

 

8 The Fund defines Small Companies as companies with market capitalization generally between $100 million and $3 billion or the largest company included in the Fund’s primary benchmark, the MSCI China Small Cap Index.
 

 

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Table of Contents

Matthews China Small Companies Fund

June 30, 2016

Schedule of Investmentsa (unaudited)

COMMON EQUITIES: 93.7%

 

     Shares     Value  
CONSUMER DISCRETIONARY: 29.4%    

Household Durables: 7.2%

   

Wuxi Little Swan Co., Ltd. B Shares

    244,017        $838,520   

Nien Made Enterprise Co., Ltd.b

    27,000        246,329   

Guangzhou Holike Creative Home Co., Ltd. A Shares

    52,078        245,643   
   

 

 

 
      1,330,492   
   

 

 

 
   

Auto Components: 7.0%

   

Minth Group, Ltd.

    266,000        858,883   

Hu Lane Associate, Inc.

    100,000        433,419   
   

 

 

 
      1,292,302   
   

 

 

 
   

Textiles, Apparel & Luxury Goods: 5.4%

   

Best Pacific International Holdings, Ltd. H Shares

    742,000        556,213   

Regina Miracle International Holdings, Ltd.b

    331,000        439,236   
   

 

 

 
      995,449   
   

 

 

 
   

Media: 5.1%

   

Clear Media, Ltd.

    484,000        423,043   

Dexter Studios Co., Ltd.b

    21,195        375,196   

IMAX China Holding, Inc.b

    27,200        134,240   
   

 

 

 
      932,479   
   

 

 

 
   

Hotels, Restaurants & Leisure: 4.7%

   

Fairwood Holdings, Ltd.

    153,000        592,493   

Tuniu Corp. ADRa

    32,100        270,603   
   

 

 

 
      863,096   
   

 

 

 

Total Consumer Discretionary

      5,413,818   
   

 

 

 
   
INDUSTRIALS: 29.0%                

Transportation Infrastructure: 6.5%

   

Yuexiu Transport Infrastructure, Ltd.

    1,018,000        656,787   

Qingdao Port International Co., Ltd. H Shares

    1,206,000        549,436   
   

 

 

 
      1,206,223   
   

 

 

 
   

Marine: 4.5%

   

SITC International Holdings Co., Ltd.

    1,569,000        825,366   
   

 

 

 
   

Electrical Equipment: 4.1%

   

Voltronic Power Technology Corp.

    54,261        758,513   
   

 

 

 
   

Road & Rail: 3.2%

   

eHi Car Services, Ltd. ADRb

    57,600        582,336   
   

 

 

 
   

Professional Services: 3.0%

   

51job, Inc. ADRb

    18,624        545,869   
   

 

 

 
   

Machinery: 2.9%

   

TK Group Holdings, Ltd.

    2,114,000        539,464   
   

 

 

 
   

Air Freight & Logistics: 2.6%

   

Kerry Logistics Network, Ltd.

    375,000        484,567   
   

 

 

 
   

Commercial Services & Supplies: 2.2%

   

Sunny Friend Environmental Technology Co., Ltd.

    87,000        412,170   
   

 

 

 

Total Industrials

      5,354,508   
   

 

 

 
   
     Shares     Value  
HEALTH CARE: 13.3%    

Biotechnology: 6.1%

   

China Biologic Products, Inc.b

    6,200        $659,184   

Shanghai Haohai Biological Technology Co., Ltd. H Shares

    98,000        456,558   
   

 

 

 
      1,115,742   
   

 

 

 
   

Health Care Equipment & Supplies: 3.5%

   

Lifetech Scientific Corp.b

    1,972,000        367,621   

Shandong Weigao Group Medical Polymer Co., Ltd. H Shares

    500,000        286,510   
   

 

 

 
      654,131   
   

 

 

 
   

Life Sciences Tools & Services: 2.1%

   

Genscript Biotech Corp.b

    2,524,000        391,004   
   

 

 

 
   

Pharmaceuticals: 1.6%

   

SSY Group, Ltd.

    889,022        287,919   
   

 

 

 

Total Health Care

      2,448,796   
   

 

 

 
   
FINANCIALS: 11.3%                

Real Estate Management & Development: 6.5%

  

 

KWG Property Holding, Ltd.

    1,089,000        635,681   

Beijing Properties Holdings, Ltd.b

    5,374,000        344,171   

China Jinmao Holdings Group, Ltd.

    758,000        214,479   
   

 

 

 
      1,194,331   
   

 

 

 
   

Capital Markets: 3.8%

   

Value Partners Group, Ltd.

    771,000        713,942   
   

 

 

 
   

Diversified Financial Services: 1.0%

   

China Merchants China Direct Investments, Ltd.

    136,000        181,947   
   

 

 

 

Total Financials

      2,090,220   
   

 

 

 
   
INFORMATION TECHNOLOGY: 8.3%                

Electronic Equipment, Instruments & Components: 4.2%

  

Sunny Optical Technology Group Co., Ltd.

    170,000        598,544   

Technovator International, Ltd.

    358,000        183,522   

China High Precision Automation Group, Ltd.b,c

    195,000        251   
   

 

 

 
      782,317   
   

 

 

 
   

Technology Hardware, Storage & Peripherals: 3.0%

  

 

Adlink Technology, Inc.

    261,868        544,175   
   

 

 

 
   

Software: 1.1%

   

Chanjet Information Technology Co., Ltd. H Sharesa

    173,000        196,378   
   

 

 

 

Total Information Technology

      1,522,870   
   

 

 

 
   
CONSUMER STAPLES: 2.4%                

Food Products: 2.4%

   

Vitasoy International Holdings, Ltd.

    244,000        443,877   
   

 

 

 

Total Consumer Staples

      443,877   
   

 

 

 
   
 

 

88    MATTHEWS ASIA FUNDS


Table of Contents

Matthews China Small Companies Fund

June 30, 2016

Schedule of Investmentsa (unaudited) (continued)

COMMON EQUITIES (continued)

 

            Value  
TOTAL INVESTMENTS: 93.7%        $17,274,089   

(Cost $17,149,197d)

   
   
CASH AND OTHER ASSETS,
LESS LIABILITIES: 6.3%
      1,156,717   
   

 

 

 

NET ASSETS: 100.0%

      $18,430,806   
   

 

 

 

 

a Certain securities were fair valued under the valuation polices approved by the Board of Trustees (Note 2- A).

 

b Non-income producing security.

 

c Illiquid security, trading was halted at June 30, 2016.

 

d Cost for federal income tax purposes is $17,149,197 and net unrealized appreciation consists of:

 

Gross unrealized appreciation

    $2,300,036   

Gross unrealized depreciation

    (2,175,144
 

 

 

 

Net unrealized appreciation

    $124,892   
 

 

 

 

 

ADR American Depositary Receipt

See accompanying notes to financial statements.

 

 

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Table of Contents

Disclosures

 

Fund Holdings: The Fund holdings shown in this report are as of June 30, 2016. Holdings are subject to change at any time, so holdings shown in this report may not reflect current Fund holdings. The Funds file complete schedules of portfolio holdings with the Securities and Exchange Commission (the “SEC”) for the first and third quarters of each fiscal year on Form N-Q. The Funds’ Form N-Q is filed with the SEC within 60 days of the end of the quarter to which it relates, and is available on the SEC’s website at www.sec.gov. It may also be reviewed and copied at the Commission’s Public Reference Room in Washington, D.C. Information on the operation of the Public Reference Room may be obtained by calling 800.SEC.0330. Complete schedules of investments are also available without charge, upon request, from the Funds by calling us at 800.789.ASIA (2742).

Proxy Voting Record: The Funds’ Statement of Additional Information containing a description of the policies and procedures that the Funds have used to vote proxies relating to portfolio securities, along with each Fund’s proxy voting record relating to portfolio securities held during the most recent 12-month period ended June 30, is available upon request, at no charge, at the Funds’ website at matthewsasia.com or by calling 800.789.ASIA (2742), or on the SEC’s website at www.sec.gov.

Shareholder Reports and Prospectuses: To reduce the Funds’ expenses, we try to identify related shareholders in a household and send only one copy of the Funds’ prospectus and financial reports to that address. This process, called “householding,” will continue indefinitely unless you instruct us otherwise. At any time you may view the Funds’ current prospectus, summary

prospectus and financial reports on our website. If you prefer to receive individual copies of the Funds’ prospectus or financial reports, please call us at 800.789.ASIA (2742).

Redemption Fee Policy: Currently, a 2.00% redemption fee will be assessed on the sale or exchange of shares of the Matthews Emerging Asia Fund, Matthews Asia Small Companies Fund and Matthews China Small Companies Fund (collectively, the “Covered Funds”) within 90 days after the date an investor purchases shares of the Covered Funds. Effective April 30, 2015, Funds other than the Covered Funds discontinued the assessment of a 2.00% redemption fee, as approved by the Board of Trustees. The imposition of redemption fees pursuant to the Funds’ Short-Term Trading Redemption Fee Policy for the Covered Funds may assist the Covered Funds in discouraging market timing activity.

The redemption fee is also imposed to discourage short-term buying and selling of shares of the Covered Funds, which can disrupt the management of the Covered Funds’ investment portfolios and may have detrimental effects on the Covered Funds and other shareholders, and to allocate the costs the Covered Funds incur as a result of short-term trading and market timing. This fee is payable directly to the Covered Funds.

To determine whether the redemption fee applies, the Covered Funds do not count the day that you purchased your shares, and first redeem the shares that you have held the longest.

The Covered Funds may grant exemptions from the redemption fee in certain circumstances. For more information on this policy, please see the Funds’ prospectus.

 

 

90    MATTHEWS ASIA FUNDS


Table of Contents

Index Definitions

 

The Markit iBoxx Asian Local Bond Index (ALBI) tracks the total return performance of a bond portfolio consisting of local-currency denominated, high quality and liquid bonds in Asia ex-Japan. The ALBI includes bonds from the following countries: Korea, Hong Kong, India, Singapore, Taiwan, Malaysia, Thailand, Philippines, Indonesia and China.

The J.P. Morgan Asia Credit Index (JACI) tracks the total return performance of the Asia fixed-rate dollar bond market. JACI is a market cap-weighted index comprising sovereign, quasi-sovereign and corporate bonds and is partitioned by country, sector and credit rating. JACI includes bonds from the following countries: China, Hong Kong, India, Indonesia, Korea, Philippines, Thailand and Singapore.

The MSCI All Country Asia ex Japan Index is a free float–adjusted market capitalization–weighted index of the stock markets of China, Hong Kong, India, Indonesia, Malaysia, Philippines, Singapore, South Korea, Taiwan and Thailand.

The MSCI All Country Asia Pacific Index is a free float–adjusted market capitalization–weighted index of the stock markets of Australia, China, Hong Kong, India, Indonesia, Japan, Malaysia, New Zealand, Philippines, Singapore, South Korea, Taiwan and Thailand.

The MSCI Emerging Markets (EM) Asia Index is a free float-adjusted market capitalization weighted index of the stock markets of China, India, Indonesia, Korea, Malaysia, the Philippines, Taiwan and Thailand.

The MSCI China Index is a free float–adjusted market capitalization–weighted index of Chinese equities that includes China-affiliated corporations and H shares listed on the Hong Kong

exchange, and B shares listed on the Shanghai and Shenzhen exchanges.

The S&P Bombay Stock Exchange (BSE) 100 Index is a free float–adjusted market capitalization–weighted index of the 100 stocks listed on the Bombay Stock Exchange.

The MSCI Japan Index is a free float–adjusted market capitalization–weighted index of Japanese equities listed in Japan.

The Korea Composite Stock Price Index (KOSPI) is a market capitalization–weighted index of all common stocks listed on the Korea Stock Exchange.

The MSCI All Country Asia ex Japan Small Cap Index is a free float–adjusted market capitalization–weighted small cap index of the stock markets of China, Hong Kong, India, Indonesia, Malaysia, Philippines, Singapore, South Korea, Taiwan and Thailand.

The MSCI China Small Cap Index is a free float–adjusted market capitalization–weighted small cap index of the Chinese equity securities markets, including H shares listed on the Hong Kong exchange, B shares listed on the Shanghai and Shenzhen exchanges, and Hong Kong-listed securities known as Red Chips (issued by entities owned by national or local governments in China) and P Chips (issued by companies controlled by individuals in China and deriving substantial revenues in China).

The MSCI All Country Asia Index is a free float–adjusted market capitalization–weighted index of the stock markets of China, Hong Kong, India, Indonesia, Japan, Malaysia, Philippines, Singapore, South Korea, Taiwan and Thailand.

 

 

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Table of Contents

Disclosure of Fund Expenses (unaudited)

 

We believe it is important for you to understand the impact of fees regarding your investment. All mutual funds have operating expenses. As a shareholder of a mutual fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund. A fund’s operating expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing fees (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

This table illustrates your fund’s costs in two ways:

Actual Fund Return: This section helps you to estimate the actual operating expenses, after any applicable fee waivers, that you paid over the period. The “Ending Account Value” shown is derived from the fund’s actual return for the past six month period, the “Expense Ratio” column shows the period’s annualized expense ratio, and the “Operating Expenses Paid During Period” column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund at the beginning of the period. You may use the information here, together with your account value, to estimate the expenses that you paid over the period. To do so, simply divide your account value by $1,000 (for example, an

$8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund in the first line under the heading entitled “Operating Expenses Paid During Period.”

Hypothetical 5% Return: This section is intended to help you compare your fund’s costs with those of other mutual funds. It assumes that the fund had an annual return of 5% before operating expenses, but that the expense ratio is unchanged. In this case, because the return used is not the fund’s actual return, the results do not apply to your investment. This example is useful in making comparisons to other mutual funds because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on an assumed 5% annual return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Please note that the operating expenses shown in the table are meant to highlight and help you compare your ongoing costs only and do not reflect any transactional costs such as sales charges (loads), redemption fees, or exchange fees.

Matthews Asia Funds does not charge any sales loads, exchange fees, or 12b-1 fees, but these may be present in other funds to which you compare this data. Therefore, the hypothetical portions of the table are useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds.

 

 

92    MATTHEWS ASIA FUNDS


Table of Contents

June 30, 2016

 

    INVESTOR CLASS           INSTITUTIONAL CLASS  
    

Beginning

Account

Value

1/1/16

    

Ending

Account

Value

6/30/16

    

Expense

Ratio1

    

Operating

Expenses

Paid During

Period

1/1/16–

6/30/162

          

Beginning

Account

Value

1/1/16

   

Ending

Account

Value

6/30/16

    

Expense

Ratio1

    

Operating

Expenses

Paid During

Period
1/1/16–
6/30/162

 
ASIA FIXED INCOME STRATEGIES                                                                             

Matthews Asia Strategic Income Fund

                      

Actual Fund Return

    $1,000.00         $1,058.30         1.15%         $5.89          $1,000.00        $1,058.60         0.90%         $4.61   

Hypothetical 5% Return

    $1,000.00         $1,030.58         1.15%         $5.81                $1,000.00        $1,029.34         0.90%         $4.54   

Matthews Asia Credit Opportunities Fund*

                      

Actual Fund Return

    $1,000.00         $1,014.60         1.15%         $1.96 3        $1,000.00        $1,014.10         0.90%         $1.54 3 

Hypothetical 5% Return

    $1,000.00         $1,030.58         1.15%         $5.81 2        $1,000.00        $1,029.34         0.90%         $4.54 2 
ASIA GROWTH AND INCOME STRATEGIES                                                                             

Matthews Asian Growth and Income Fund

                      

Actual Fund Return

    $1,000.00         $1,070.50         1.11%         $5.71          $1,000.00        $1,070.80         0.94%         $4.84   

Hypothetical 5% Return

    $1,000.00         $1,030.38         1.11%         $5.60                $1,000.00        $1,029.54         0.94%         $4.74   

Matthews Asia Dividend Fund

                      

Actual Fund Return

    $1,000.00         $1,065.00         1.09%         $5.60          $1,000.00        $1,066.60         0.93%         $4.78   

Hypothetical 5% Return

    $1,000.00         $1,030.28         1.09%         $5.50                $1,000.00        $1,029.49         0.93%         $4.69   

Matthews China Dividend Fund

                      

Actual Fund Return

    $1,000.00         $991.30         1.21%         $5.99          $1,000.00        $992.40         1.02%         $5.05   

Hypothetical 5% Return

    $1,000.00         $1,030.88         1.21%         $6.11          $1,000.00        $1,029.94         1.02%         $5.15   
ASIA VALUE STRATEGY                                                                             

Matthews Asia Value Fund

                      

Actual Fund Return

    $1,000.00         $1,032.50         1.50%         $7.58          $1,000.00        $1,033.60         1.25%         $6.32   

Hypothetical 5% Return

    $1,000.00         $1,032.32         1.50%         $7.58          $1,000.00        $1,031.08         1.25%         $6.31   
ASIA GROWTH STRATEGIES                                                                             

Matthews Asia Focus Fund

                      

Actual Fund Return

    $1,000.00         $1,066.80         1.63%         $8.38          $1,000.00        $1,069.10         1.25%         $6.43   

Hypothetical 5% Return

    $1,000.00         $1,032.97         1.63%         $8.24                $1,000.00        $1,031.08         1.25%         $6.31   

Matthews Asia Growth Fund

                      

Actual Fund Return

    $1,000.00         $1,036.50         1.15%         $5.82          $1,000.00        $1,037.20         0.94%         $4.76   

Hypothetical 5% Return

    $1,000.00         $1,030.58         1.15%         $5.81                $1,000.00        $1,029.54         0.94%         $4.74   

Matthews Pacific Tiger Fund

                      

Actual Fund Return

    $1,000.00         $1,040.40         1.10%         $5.58          $1,000.00        $1,041.20         0.90%         $4.57   

Hypothetical 5% Return

    $1,000.00         $1,030.33         1.10%         $5.55                $1,000.00        $1,029.34         0.90%         $4.54   

Matthews Asia ESG Fund

                      

Actual Fund Return

    $1,000.00         $985.90         1.45%         $7.16          $1,000.00        $986.90         1.25%         $6.18   

Hypothetical 5% Return

    $1,000.00         $1,032.07         1.45%         $7.33                $1,000.00        $1,031.08         1.25%         $6.31   

Matthews Emerging Asia Fund

                      

Actual Fund Return

    $1,000.00         $1,106.50         1.50%         $7.86          $1,000.00        $1,108.10         1.25%         $6.55   

Hypothetical 5% Return

    $1,000.00         $1,032.32         1.50%         $7.58                $1,000.00        $1,031.08         1.25%         $6.31   

Matthews Asia Innovators Fund**

                      

Actual Fund Return

    $1,000.00         $952.10         1.20%         $5.82          $1,000.00        $953.00         0.97%         $4.71   

Hypothetical 5% Return

    $1,000.00         $1,030.83         1.20%         $6.06                $1,000.00        $1,029.69         0.97%         $4.90   

Matthews China Fund

                      

Actual Fund Return

    $1,000.00         $878.90         1.21%         $5.65          $1,000.00        $879.30         1.09%         $5.09   

Hypothetical 5% Return

    $1,000.00         $1,030.88         1.21%         $6.11                $1,000.00        $1,030.28         1.09%         $5.50   

Matthews India Fund

                      

Actual Fund Return

    $1,000.00         $1,017.80         1.13%         $5.67          $1,000.00        $1,018.90         0.90%         $4.52   

Hypothetical 5% Return

    $1,000.00         $1,030.48         1.13%         $5.70                $1,000.00        $1,029.34         0.90%         $4.54   

Matthews Japan Fund

                      

Actual Fund Return

    $1,000.00         $1,062.70         0.92%         $4.72          $1,000.00        $1,063.20         0.85%         $4.36   

Hypothetical 5% Return

    $1,000.00         $1,029.44         0.92%         $4.64                $1,000.00        $1,029.09         0.85%         $4.29   

 

* Commenced operations on April 29, 2016.

 

** The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

 

1 Annualized, based on the Fund’s most recent fiscal half-year expenses.

 

2 Operating expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by 182 days, then divided by 366.

 

3 Operating expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by 62 days, then divided by 366.

 

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Table of Contents

Disclosure of Fund Expenses (unaudited) (continued)

 

    INVESTOR CLASS            INSTITUTIONAL CLASS  
    

Beginning

Account

Value

1/1/16

    

Ending

Account

Value

6/30/16

    

Expense

Ratio1

    

Operating

Expenses

Paid During

Period

1/1/16–

6/30/162

           

Beginning

Account

Value

1/1/16

   

Ending

Account

Value

6/30/16

    

Expense

Ratio1

    

Operating

Expenses

Paid During

Period
1/1/16–
6/30/162

 
ASIA GROWTH STRATEGIES (continued)                                                                              

Matthews Korea Fund

                       

Actual Fund Return

    $1,000.00         $996.70         1.13%         $5.61           $1,000.00        $998.40         0.92%         $4.57   

Hypothetical 5% Return

    $1,000.00         $1,030.48         1.13%         $5.70           $1,000.00        $1,029.44         0.92%         $4.64   
ASIA SMALL COMPANY STRATEGIES                                                                              

Matthews Asia Small Companies Fund

                       

Actual Fund Return

    $1,000.00         $993.30         1.48%         $7.33           $1,000.00        $994.30         1.25%         $6.20   

Hypothetical 5% Return

    $1,000.00         $1,032.22         1.48%         $7.48                 $1,000.00        $1,031.08         1.25%         $6.31   

Matthews China Small Companies Fund

                       

Actual Fund Return

    $1,000.00         $940.80         1.50%         $7.24                

Hypothetical 5% Return

    $1,000.00         $1,032.32         1.50%         $7.58                                              

 

1 Annualized, based on the Fund’s most recent fiscal half-year expenses.

 

2 Operating expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by 182 days, then divided by 366.

 

94    MATTHEWS ASIA FUNDS


Table of Contents

 

 

 

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Table of Contents

Statements of Assets and Liabilities (unaudited)

 

        Matthews Asia
Strategic
Income Fund
      

Matthews Asia

Credit
Opportunities Fund*

       Matthews Asian
Growth and
Income Fund
 

ASSETS:

              

Investments at value (A) (Note 2-A and 7):

              

Unaffiliated issuers

       $61,596,570           $11,731,427           $2,853,045,775   

Affiliated issuers

                             

Total investments

       61,596,570           11,731,427           2,853,045,775   

Cash

       2,187,449           921,879           116,985,751   

Segregated foreign currency at value (B)

                             

Foreign currency at value (B) (Note 2-C)

                           3,476,144   

Dividends, interest and other receivable—Unaffiliated issuers

       1,121,522           164,847           7,953,392   

Dividends receivable—Affiliated issuers

                             

Receivable for securities sold

                           355,628   

Receivable for capital shares sold

       6,662           10,000           14,550,261   

Due from Advisor (Note 5)

                             

Deferred offering costs (Note 2-E)

                 29,686             

Unrealized appreciation on forward foreign currency exchange contracts

       173,128                       

Prepaid expenses and other assets

       36,971           14,334           223,509   

TOTAL ASSETS

       65,122,302           12,872,173           2,996,590,460   

LIABILITIES:

              

Payable for securities purchased

       1,756,491                     1,934,916   

Payable for capital shares redeemed

       12,411                     6,124,740   

Cash overdraft

                             

Deferred foreign capital gains tax liability (Note 2-G)

       19,355                       

Due to Advisor (Note 5)

       26,482           1,195           1,601,039   

Administration and accounting fees payable

       1,243           158           58,645   

Administration and shareholder servicing fees payable

       7,238           1,449           343,738   

Custodian fees payable

                 1,129           191,185   

Intermediary service fees payable (Note 5)

       11,057           324           808,878   

Professional fees payable

       18,101           3,468           38,920   

Transfer agent fees payable

       727           304           21,057   

Printing fees payable

                           182,460   

Offering costs (Note 2-E)

                 35,760             

Accrued other expenses payable

       7,064                       

TOTAL LIABILITIES

       1,860,169           43,787           11,305,578   

NET ASSETS

       $63,262,133           $12,828,386           $2,985,284,882   

NET ASSETS:

              

Investor Class

       $52,280,714           $7,745,749           $2,035,934,986   

Institutional Class

       10,981,419           5,082,637           949,349,896   

TOTAL

       $63,262,133           $12,828,386           $2,985,284,882   

 

* Matthews Asia Credit Opportunities Fund commenced operations on April 29, 2016.
1 Consolidated Statements of Assets and Liabilities. See Note 2-C.

 

See accompanying notes to financial statements.

 

96    MATTHEWS ASIA FUNDS


Table of Contents

June 30, 2016

 

Matthews Asia
Dividend Fund1
    Matthews China
Dividend Fund
    Matthews Asia
Value Fund
    Matthews Asia
Focus Fund
    Matthews Asia
Growth Fund
    Matthews Pacific
Tiger Fund
 
         
         
  $4,049,687,664        $154,721,554        $1,721,946        $10,484,557        $667,842,832        $6,107,637,918   
  566,043,628                                    586,616,690   
  4,615,731,292        154,721,554        1,721,946        10,484,557        667,842,832        6,694,254,608   
  46,583,900        6,930,024        268,171        284,705               242,998,423   
  72,748                                      
  12,693,013        287,183        153               448,428        3,028,863   
  22,863,142        1,591,658        4,059        44,016        717,178        16,817,066   
  325,544                                      
  21,133,333        569,061                      19,102,629        12,331,196   
  7,057,762        1,079,561               2,649        1,120,571        26,350,255   
                13,568        309                 
  240               51,310                        

 

  

                                  
  80,057        64,118        29,989        48,525        67,548        145,578   
  4,726,541,031        165,243,159        2,089,196        10,864,761        689,299,186        6,995,925,989   
         
  622,856        461,664                      3,914,989          
  6,503,154        236,051        203        5,055        1,713,685        5,009,895   
                              1,064,261          
  66,976                             122,956          
  2,546,069        86,029                      367,620        3,659,919   
  93,177        3,054        38        220        13,493        132,611   
  535,666        18,471        231        1,265        78,929        752,950   
  147,294                                    407,321   
  1,106,107        36,716                      177,443        1,097,624   
  52,656        17,331        6,694        13,223        29,500        80,132   
  127,239        3,038        84        383        6,825        74,019   
  176,598                             8,774        145,189   
                60,123                        
  73,749                                      
  12,051,541        862,354        67,373        20,146        7,498,475        11,359,660   
  $4,714,489,490        $164,380,805        $2,021,823        $10,844,615        $681,800,711        $6,984,566,329   
         
  $2,709,574,471        $144,922,923        $1,873,953        $4,947,618        $476,134,562        $2,638,611,508   
  2,004,915,019        19,457,882        147,870        5,896,997        205,666,149        4,345,954,821   
  $4,714,489,490        $164,380,805        $2,021,823        $10,844,615        $681,800,711        $6,984,566,329   

 

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Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

 

        Matthews Asia
Strategic
Income Fund
      

Matthews Asia

Credit
Opportunities Fund*

       Matthews Asian
Growth and
Income Fund
 

SHARES OUTSTANDING:

              

(shares of beneficial interest issued and outstanding, respectively, unlimited number of shares authorized with a $0.001 par value)

              

Investor Class

       5,041,652           767,974           119,679,357   

Institutional Class

       1,059,764           504,013           55,863,477   

TOTAL

       6,101,416           1,271,987           175,542,834   

NET ASSET VALUE:

              

Investor Class, offering price and redemption price

       $10.37           $10.09           $17.01   

Institutional Class, offering price and redemption price

       $10.36           $10.08           $16.99   

NET ASSETS CONSIST OF:

              

Capital paid-in

       $65,640,076           $12,715,496           $2,566,980,889   

Undistributed (distributions in excess of) net investment income (loss)

       274,982           (1,913        (9,840,813

Undistributed/accumulated net realized gain (loss) on investments, and foreign currency related transactions

       (2,555,214        32           94,158,578   

Net unrealized appreciation (depreciation) on investments, foreign currency translations and deferred foreign capital gains taxes

       (97,711        114,771           333,986,228   

NET ASSETS

       $63,262,133           $12,828,386           $2,985,284,882   

(A) Investments at cost:

              

Unaffiliated issuers

       $61,839,303           $11,616,656           $2,519,090,988   

Affiliated issuers

                             

Total investments at cost

       $61,839,303           $11,616,656           $2,519,090,988   

(B) Foreign currency at cost

       $—           $—           $3,476,144   

 

* Matthews Asia Credit Opportunities Fund commenced operations on April 29, 2016.
1 Consolidated Statements of Assets and Liabilities. See Note 2-C.

 

See accompanying notes to financial statements.

 

98    MATTHEWS ASIA FUNDS


Table of Contents

June 30, 2016

 

Matthews Asia
Dividend Fund1
    Matthews China
Dividend Fund
    Matthews Asia
Value Fund
    Matthews Asia
Focus Fund
    Matthews Asia
Growth Fund
    Matthews Pacific
Tiger Fund
 
         
         
  167,625,677        10,764,098        184,306        533,767        21,784,140        107,763,133   
  124,066,128        1,445,251        14,560        634,975        9,337,051        177,464,640   
  291,691,805        12,209,349        198,866        1,168,742        31,121,191        285,227,773   
         
  $16.16        $13.46        $10.17        $9.27        $21.86        $24.49   
  $16.16        $13.46        $10.16        $9.29        $22.03        $24.49   
         
  $4,032,607,326        $165,474,597        $1,962,153        $12,216,459        $547,013,254        $5,289,277,745   
 
 
    
(8,012,188
 
    (157,130     12,518        165,988        2,901,723        22,497,512   
 
 
    
(73,704,561)
 
  
    (152,978     (10,520     (920,513     (21,055,517     111,753,506   
 
 
    
763,598,913
 
  
    (783,684     57,672        (617,319     152,941,251        1,561,037,566   
  $4,714,489,490        $164,380,805        $2,021,823        $10,844,615        $681,800,711        $6,984,566,329   
         
  $3,335,348,803        $155,506,353        $1,664,278        $11,101,912        $514,779,514        $4,437,739,299   
  516,704,203                                    695,495,856   
  $3,852,053,006        $155,506,353        $1,664,278        $11,101,912        $514,779,514        $5,133,235,155   
  $12,691,740        $287,183        $153        $—        $448,428        $3,028,775   

 

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Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

 

        Matthews Asia
ESG Fund
       Matthews Emerging
Asia Fund
       Matthews Asia
Innovators Fund*
 

ASSETS:

              

Investments at value (A) (Note 2-A and 7):

              

Unaffiliated issuers

       $7,581,382           $136,473,823           $140,207,315   

Affiliated issuers

                 4,391,970             

Total investments

       7,581,382           140,865,793           140,207,315   

Cash

       1,138,677           10,272,293           4,590,842   

Segregated foreign currency at value (B)

                             

Foreign currency at value (B) (Note 2-C)

                 613,668           732,121   

Dividends, interest and other receivable—Unaffiliated issuers

       34,102           445,787           316,748   

Receivable for securities sold

                             

Receivable for capital shares sold

                 555,246           39,563   

Due from Advisor (Note 5)

       4,019                       

Prepaid expenses and other assets

       37,474           42,170           38,674   

TOTAL ASSETS

       8,795,654           152,794,957           145,925,263   

LIABILITIES:

              

Payable for securities purchased

       131,674           39,041             

Payable for capital shares redeemed

       2,256           12,163           227,698   

Cash overdraft

                             

Deferred foreign capital gains tax liability (Note 2-G)

       16,053           1,129,910             

Due to Advisor (Note 5)

                 79,247           72,066   

Administration and accounting fees payable

       42           2,654           2,917   

Administration and shareholder servicing fees payable

       952           16,816           16,892   

Custodian fees payable

                             

Intermediary service fees payable (Note 5)

                 26,240           31,862   

Professional fees payable

       8,968           7,705           28,007   

Transfer agent fees payable

       75           1,376           4,240   

Printing fees payable

       12,699                       

Offering costs (Note 2-E)

       78,684                       

Trustees fees payable

       458                       

Accrued other expenses payable

                 20,475           3,508   

TOTAL LIABILITIES

       251,861           1,335,627           387,190   

NET ASSETS

       $8,543,793           $151,459,330           $145,538,073   

NET ASSETS:

              

Investor Class

       $5,608,248           $73,511,633           $107,362,389   

Institutional Class

       2,935,545           77,947,697           38,175,684   

TOTAL

       $8,543,793           $151,459,330           $145,538,073   

 

* The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.
1 Consolidated Statements of Assets and Liabilities. See Note 2-C.

 

See accompanying notes to financial statements.

 

100    MATTHEWS ASIA FUNDS


Table of Contents

June 30, 2016

 

Matthews
China Fund1
    Matthews
India Fund
    Matthews
Japan Fund
    Matthews
Korea Fund
    Matthews Asia
Small Companies
Fund
    Matthews China
Small Companies
Fund
 
         
         
  $572,727,125        $1,445,567,153        $2,889,285,493        $168,531,075        $522,313,293        $17,274,089   
         97,472,893        357,567,852                        
  572,727,125        1,543,040,046        3,246,853,345        168,531,075        522,313,293        17,274,089   
  8,848,421        48,795,005        124,309,376               17,939,121        908,557   
  72,770                                      
  162,820               3,132,429               345,331          
  7,700,701        3,403,719        4,689,297        143,152        623,493        118,792   
  448,485               28,046,965        32,933,767        81,626        122,522   
  94,247        1,752,850        14,462,400        346,673        215,917        10,300   
                                       
  60,860        118,970        342,734        39,670        64,732        30,095   
  590,115,429        1,597,110,590        3,421,836,546        201,994,337        541,583,513        18,464,355   
         
  8,463,593        75,676        43,786,527               53,779          
  1,298,850        1,436,857        12,788,511        2,743,549        739,617        5,695   
                       35,181,648                 
                                       
  304,039        856,237        1,792,907        112,766        429,135        6,276   
  11,490        30,171        62,054        4,072        10,887        382   
  65,677        183,831        383,266        24,209        63,278        2,168   
  12,492        106,681                      18,204          
  202,199        316,852               33,677        140,930          
  21,439        18,176               19,387        36,510        18,280   
  24,725        25,239        26,283        5,625        4,855        748   
  67,981                                      
                                       
                                       
  124,379        20,380               396        21,968          
  10,596,864        3,070,100        58,839,548        38,125,329        1,519,163        33,549   
  $579,518,565        $1,594,040,490        $3,362,996,998        $163,869,008        $540,064,350        $18,430,806   
         
  $553,369,742        $1,094,817,573        $2,159,899,237        $133,613,503        $338,550,252        $18,430,806   
  26,148,823        499,222,917        1,203,097,761        30,255,505        201,514,098          
  $579,518,565        $1,594,040,490        $3,362,996,998        $163,869,008        $540,064,350        $18,430,806   

 

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Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

 

        Matthews Asia
ESG Fund
       Matthews Emerging
Asia Fund
       Matthews Asia
Innovators Fund*
 

SHARES OUTSTANDING:

              

(shares of beneficial interest issued and outstanding, respectively, unlimited number of shares authorized with a $0.001 par value)

              

Investor Class

       616,320           5,896,320           9,153,256   

Institutional Class

       324,348           6,231,461           3,245,492   

TOTAL

       940,668           12,127,781           12,398,748   

NET ASSET VALUE:

              

Investor Class, offering price and redemption price

       $9.10           $12.47           $11.73   

Institutional Class, offering price and redemption price

       $9.05           $12.51           $11.76   

NET ASSETS CONSIST OF:

              

Capital paid-in

       $8,582,777           $135,425,984           $104,619,357   

Undistributed (distributions in excess of) net investment income (loss)

       58,097           1,419,800           (15,557

Undistributed/accumulated net realized gain (loss) on investments, and foreign currency related transactions

       (86,778        1,610,159           15,527,572   

Net unrealized appreciation (depreciation) on investments, foreign currency translations and deferred foreign capital gains taxes

       (10,303        13,003,387           25,406,701   

NET ASSETS

       $8,543,793           $151,459,330           $145,538,073   

(A) Investments at cost:

              

Unaffiliated issuers

       $7,576,334           $122,799,436           $114,802,959   

Affiliated issuers

                 3,933,041             

Total investments at cost

       $7,576,334           $126,732,477           $114,802,959   

(B) Foreign currency at cost

       $—           $613,693           $732,109   

 

* The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.
1 Consolidated Statements of Assets and Liabilities. See Note 2-C.

 

See accompanying notes to financial statements.

 

102    MATTHEWS ASIA FUNDS


Table of Contents

June 30, 2016

 

Matthews
China Fund1
    Matthews
India Fund
    Matthews
Japan Fund
    Matthews
Korea Fund
    Matthews Asia
Small Companies
Fund
    Matthews China
Small Companies
Fund
 
         
         
  34,180,945        40,704,948        107,115,506        21,787,574        17,560,945        2,229,700   
  1,616,621        18,495,185        59,548,805        4,907,498        10,448,360          
  35,797,566        59,200,133        166,664,311        26,695,072        28,009,305        2,229,700   
         
  $16.19        $26.90        $20.16        $6.13        $19.28        $8.27   
  $16.17        $26.99        $20.20        $6.17        $19.29        $—   
         
  $579,459,949        $1,311,997,317        $3,008,775,196        $92,903,527        $528,504,847        $18,346,520   
  7,379,875        3,480,708        10,650,893        (530,043     2,261,963        179,049   
 
 
    
18,179,477
 
  
    5,485,720        (96,567,009     13,469,359        (23,426,605     (219,743
 
 
 
    
    
(25,500,736
 
 
    273,076,745        440,137,918        58,026,165        32,724,145        124,980   
  $579,518,565        $1,594,040,490        $3,362,996,998        $163,869,008        $540,064,350        $18,430,806   
         
  $598,229,860        $1,186,812,590        $2,484,497,003        $110,624,386        $489,572,512        $17,149,197   
         83,016,313        322,136,769                        
  $598,229,860        $1,269,828,903        $2,806,633,772        $110,624,386        $489,572,512        $17,149,197   
  $162,832        $—        $3,127,534        $—        $345,331        $—   

 

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Table of Contents

Statements of Operations (unaudited)

 

        Matthews Asia
Strategic
Income Fund
       Matthews Asia
Credit
Opportunities
Fund*
       Matthews Asian
Growth and
Income Fund
 

INVESTMENT INCOME:

              

Dividends—Unaffiliated Issuers

       $1,514           $758           $42,500,579   

Dividends—Affiliated Issuers (Note 7)

                             

Interest

       1,827,496           89,100           2,134,872   

Foreign withholding tax

       (32,288                  (2,728,091

TOTAL INVESTMENT INCOME

       1,796,722           89,858           41,907,360   

EXPENSES:

              

Investment advisory fees (Note 5)

       201,344           12,844           9,493,005   

Administration and accounting fees (Note 5)

       2,485           158           114,491   

Administration and shareholder servicing fees (Note 5)

       44,747           2,826           2,061,834   

Accounting out-of-pocket fees

       12,922           236           13,865   

Custodian fees

       8,236           1,133           465,101   

Insurance fees

                             

Intermediary service fees (Note 5)

       65,000           2,819           2,616,328   

Printing fees

       5,819           84           170,170   

Professional fees

       21,261           5,269           35,580   

Registration fees

       13,273           84           24,302   

Transfer agent fees

       1,459           304           35,805   

Trustees fees

       1,759           84           78,488   

Offering costs (Note 2-E)

                 6,074             

Other expenses

       1,919           51           35,507   

TOTAL EXPENSES

       380,224           31,966           15,144,476   

Advisory fees waived and expenses waived or reimbursed (Note 5)

       (37,218        (11,363          

Administration fees waived (Note 5)

                             

NET EXPENSES

       343,006           20,603           15,144,476   

NET INVESTMENT INCOME (LOSS)

       1,453,716           69,255           26,762,884   
REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS, FOREIGN CURRENCY RELATED TRANSACTIONS AND DEFERRED CAPITAL GAINS TAXES:               

Net realized gain (loss) on investments—Unaffiliated Issuers

       (556,520                  54,784,572   

Net realized gain (loss) on investments—Affiliated Issuers

                             

Net realized gain (loss) on foreign currency related transactions

       (463,163        32           (877,816

Net change in unrealized appreciation/depreciation on investments

       3,315,473           114,771           117,588,009   

Net change in deferred foreign capital gains taxes on unrealized appreciation

       (18,390                    

Net change in unrealized appreciation/depreciation on foreign currency related translations

       (126,621                  91,976   

Net realized and unrealized gain (loss) on investments, foreign currency related transactions and deferred capital gains taxes

       2,150,779           114,803           171,586,741   

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

       $3,604,495           $184,058           $198,349,625   

 

* Matthews Asia Credit Opportunities Fund commenced operations on April 29, 2016.
1 Consolidated Statements of Operations. See Note 2-C.

 

See accompanying notes to financial statements.

 

104    MATTHEWS ASIA FUNDS


Table of Contents

Six-Month Period Ended June 30, 2016

 

    
    
Matthews Asia
Dividend Fund1
    Matthews China
Dividend Fund
    Matthews Asia
Value Fund
    Matthews Asia
Focus Fund
    Matthews Asia
Growth Fund
    Matthews Pacific
Tiger Fund
 
         
  $72,593,886        $3,839,019        $19,200        $170,230        $6,996,336        $54,819,993   
  12,656,207                                    3,599,251   
  1,060        1               1        10          
  (6,644,884     (219,786     (1,039     (7,236     (644,012     (4,400,462
  78,606,269        3,619,234        18,161        162,995        6,352,334        54,018,782   
         
  15,129,583        507,135        6,010        36,061        2,270,246        21,358,088   
  222,102        6,118        73        435        27,386        257,604   
  3,286,060        110,187        1,305        7,834        493,247        4,638,917   
  15,058        11,921        9,027        11,020        13,705        13,609   
  695,551        47,423        12,046        7,502        181,265        1,316,249   
  428                                      
  3,372,419        174,151        2,105        11,616        604,149        3,784,293   
  184,681        9,493        941        940        28,808        157,003   
  79,868        18,031        11,134        21,490        25,030        73,073   
  30,891        19,140        2,277        10,450        31,276        32,725   
  256,745        5,052        138        811        12,035        74,833   
  123,822        4,460        44        396        19,684        174,873   
                45,769                        
  52,589        3,210        621        1,645        22,705        81,547   
  23,449,797        916,321        91,490        110,200        3,729,536        31,962,814   
  (78,720            (78,075     (32,502            (220,772
  (78,720                                 (220,772
  23,292,357        916,321        13,415        77,698        3,729,536        31,521,270   
  55,313,912        2,702,913        4,746        85,297        2,622,798        22,497,512   
         
  (30,860,132     (663,354     (10,093     (210,482     (1,648,454     94,499,265   
  (1,884,501                                 3,794,822   
  (474,805     (5,740     (427     (369     99,141        94,812   
  262,822,193        (5,895,880     74,431        843,934        17,909,175        144,103,988   
 
 
    
(66,976
 
                         18,798          
 
 
    
245,606
 
  
    1,077        (13     313        4,434        36,343   
 
 
    
229,781,385
 
  
    (6,563,897     63,898        633,396        16,383,094        242,529,230   
  $285,095,297        ($3,860,984     $68,644        $718,693        $19,005,892        $265,026,742   

 

matthewsasia.com  |  800.789.ASIA      105   


Table of Contents

Statements of Operations (unaudited) (continued)

 

       

Matthews Asia

ESG Fund

       Matthews Emerging
Asia Fund
      

Matthews Asia

Innovators Fund*

 

INVESTMENT INCOME:

              

Dividends—Unaffiliated Issuers

       $83,688           $2,395,660           $916,696   

Dividends—Affiliated Issuers (Note 7)

                             

Interest

                             

Foreign withholding tax

       (7,183        (265,696        (92,218

TOTAL INVESTMENT INCOME

       76,505           2,129,964           824,478   

EXPENSES:

              

Investment advisory fees (Note 5)

       21,642           706,895           485,711   

Administration and accounting fees (Note 5)

       261           5,673           5,859   

Administration and shareholder servicing fees (Note 5)

       4,694           102,214           105,523   

Accounting out-of-pocket fees

       11,296           15,394           13,674   

Custodian fees

       23,368           205,037           46,765   

Intermediary service fees (Note 5)

       4,561           116,341           132,635   

Printing fees

       4,437           6,196           8,619   

Professional fees

       13,808           23,563           20,004   

Registration fees

       5,485           15,269           13,831   

Transfer agent fees

       214           2,991           7,335   

Trustees fees

       145           4,237           4,170   

Offering costs (Note 2-E)

       26,229                       

Other expenses

       2,004           3,545           2,521   

TOTAL EXPENSES

       118,144           1,207,355           846,647   

Advisory fees waived and expenses waived or reimbursed (Note 5)

       (73,031        (220,456        (6,612

Administration fees waived (Note 5)

                             

NET EXPENSES

       45,113           986,899           840,035   

NET INVESTMENT INCOME (LOSS)

       31,392           1,143,065           (15,557
REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS, FOREIGN CURRENCY RELATED TRANSACTIONS AND DEFERRED CAPITAL GAINS TAXES:               

Net realized gain (loss) on investments—Unaffiliated Issuers

       (35,987        3,171,686           5,175,278   

Net realized gain (loss) on investments—Affiliated Issuers

                             

Net realized foreign capital gains tax

                 (448,789          

Net realized gain (loss) on foreign currency related transactions

       1,279           (16,890        (53,479

Net change in unrealized appreciation/depreciation on investments

       124,127           7,893,088           (13,507,926

Net change in deferred foreign capital gains taxes on unrealized appreciation

       (6,218        530,592             

Net change in unrealized appreciation/depreciation on foreign currency related translations

       721           309           9,379   

Net realized and unrealized gain (loss) on investments, foreign currency related transactions and deferred capital gains taxes

       83,922           11,129,996           (8,376,748

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

       $115,314           $12,273,061           ($8,392,305

 

* The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.
1 Consolidated Statements of Operations. See Note 2-C.

 

See accompanying notes to financial statements.

 

106    MATTHEWS ASIA FUNDS


Table of Contents

Six-Month Period Ended June 30, 2016

 

Matthews
China Fund1
    Matthews
India Fund
    Matthews
Japan Fund
    Matthews
Korea Fund
   

Matthews Asia

Small Companies

Fund

   

Matthews China

Small Companies

Fund

 
         
  $11,935,949        $11,243,038        $20,950,786        $745,668        $5,044,347        $332,878   
                3,103,521                        
         7                      790          
  (962,390            (2,376,131     (123,078     (190,264     (10,649
  10,973,559        11,243,045        21,678,176        622,590        4,854,873        322,229   
         
  1,957,298        4,791,556        9,062,397        660,970        2,735,151        96,081   
  60,904        57,794        109,244        7,972        21,943        771   
  425,387        1,040,318        1,965,613        143,553        395,233        13,885   
  13,830        14,931        14,764        13,215        14,824        14,049   
  168,385        332,929        133,136        34,272        185,699        15,631   
  705,653        1,259,233        705,185        142,021        465,888        24,088   
  83,002        60,454        26,985        7,419        23,637        2,276   
  50,691        32,332        30,029        18,190        25,683        17,177   
  11,733        27,041        35,646        10,367        19,329        6,080   
  48,060        40,316        55,119        10,371        8,660        1,486   
  18,103        38,413        57,949        5,344        15,917        557   
                                       
  19,638        16,155        14,793        5,531        8,876        1,261   
  3,562,684        7,711,472        12,210,860        1,059,225        3,920,840        193,342   
  (1,868            (2,893            (83,760     (48,816
                (2,893                     
  3,560,816        7,711,472        12,205,074        1,059,225        3,837,080        144,526   
  7,412,743        3,531,573        9,473,102        (436,635     1,017,793        177,703   
         
  2,866,574        (5,746,000     (36,723,529     7,098,788        (10,197,849     (922,006
         384,650        6,649,002                        
                                       
  (166,503     (249,689     902,096        64,917        (33,518     771   
  (99,904,502     30,592,867        270,884,964        (8,539,429     2,566,450        (521,758
         1,942,487                      56,811          
  18,589        (17,042     (83,609     124,330        2,324        88   
  (97,185,842     26,907,273        241,628,924        (1,251,394     (7,605,782     (1,442,905
  ($89,773,099     $30,438,846        $251,102,026        ($1,688,029     ($6,587,989     ($1,265,202

 

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Statements of Changes in Net Assets

 

MATTHEWS ASIA STRATEGIC INCOME FUND      Six-Month Period
Ended June 30, 2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       $1,453,716         $3,111,267   

Net realized gain (loss) on investments and foreign currency related transactions

       (1,019,683      (1,299,648

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       3,188,852         (2,208,664

Net change on deferred foreign capital gains taxes on unrealized appreciation

       (18,390      18,403   

Net change in unrealized appreciation/depreciation on financial future contracts

               (12,891

Net increase (decrease) in net assets resulting from operations

       3,604,495         (391,533

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

       (847,106      (1,574,263

Institutional Class

       (190,058      (350,781

Net decrease in net assets resulting from distributions

       (1,037,164      (1,925,044

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (1,435,801      (1,988,782

REDEMPTION FEES

               1,288   

Total increase (decrease) in net assets

       1,131,530         (4,304,071

NET ASSETS:

       

Beginning of period

       62,130,603         66,434,674   

End of period (including undistributed/(distributions in excess of) net investment income of $274,982 and ($141,570), respectively)

       $63,262,133         $62,130,603   
MATTHEWS ASIA CREDIT OPPORTUNITIES FUND      Period Ended
June 30, 2016
(unaudited) 1
         

OPERATIONS:

       

Net investment income (loss)

       $69,255      

Net realized gain (loss) on investments and foreign currency related transactions

       32      

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       114,771            

Net increase (decrease) in net assets resulting from operations

       184,058            

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

       (41,038   

Institutional Class

       (30,130         

Net decrease in net assets resulting from distributions

       (71,168         

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       12,715,496            

Total increase (decrease) in net assets

       12,828,386            

NET ASSETS:

       

Beginning of period

                  

End of period (including distributions in excess of net investment income of ($1,913))

       $12,828,386            

1   Matthews Asia Credit Opportunities Fund commenced operations on April 29, 2016.

       

 

See accompanying notes to financial statements.

 

108    MATTHEWS ASIA FUNDS


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MATTHEWS ASIAN GROWTH AND INCOME FUND      Six-Month Period
Ended June 30, 2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       $26,762,884         $85,685,483   

Net realized gain (loss) on investments and foreign currency related transactions

       53,906,756         160,262,613   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       117,679,985         (408,230,983

Net increase (decrease) in net assets resulting from operations

       198,349,625         (162,282,887

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

       (17,518,394      (60,473,615

Institutional Class

       (9,103,627      (25,646,657

Realized gains on investments:

       

Investor Class

               (99,500,383

Institutional Class

               (38,663,330

Net decrease in net assets resulting from distributions

       (26,622,021      (224,283,985

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (55,497,091      (979,815,420

REDEMPTION FEES

               181,880   

Total increase (decrease) in net assets

       116,230,513         (1,366,200,412

NET ASSETS:

       

Beginning of period

       2,869,054,369         4,235,254,781   

End of period (including distributions in excess of net investment income of ($9,840,813) and ($9,981,676), respectively)

       $2,985,284,882         $2,869,054,369   

 

MATTHEWS ASIA DIVIDEND FUND      Six-Month Period
Ended June 30, 2016
(unaudited)1
     Year Ended
December 31, 20151
 

OPERATIONS:

       

Net investment income (loss)

       $55,313,912         $100,527,128   

Net realized gain (loss) on investments and foreign currency related transactions

       (33,219,438      257,971,919   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       263,067,799         (205,148,610

Net change on deferred foreign capital gains taxes on unrealized appreciation

       (66,976      7,302,449   

Net increase (decrease) in net assets resulting from operations

       285,095,297         160,652,886   

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

       (32,718,899      (50,178,458

Institutional Class

       (25,917,286      (42,940,313

Realized gains on investments:

       

Investor Class

               (40,978,371

Institutional Class

               (30,690,700

Net decrease in net assets resulting from distributions

       (58,636,185      (164,787,842

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (315,593,314      (217,935,493

REDEMPTION FEES

       9         95,389   

Total increase (decrease) in net assets

       (89,134,193      (221,975,060

NET ASSETS:

       

Beginning of period

       4,803,623,683         5,025,598,743   

End of period (including distributions in excess of net investment income of ($8,012,188) and ($4,689,915), respectively)

       $4,714,489,490         $4,803,623,683   

1   Consolidated Statements of Changes in Net Assets. See Note 2-C.

       

 

See accompanying notes to financial statements.

 

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Statements of Changes in Net Assets (continued)

 

 

MATTHEWS CHINA DIVIDEND FUND      Six-Month Period
Ended June 30, 2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       $2,702,913         $3,500,086   

Net realized gain (loss) on investments and foreign currency related transactions

       (669,094      10,269,902   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       (5,894,803      (6,469,584

Net increase (decrease) in net assets resulting from operations

       (3,860,984      7,300,404   

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

       (2,183,089      (3,549,297

Institutional Class

       (309,349      (479,873

Realized gains on investments:

       

Investor Class

               (7,116,965

Institutional Class

               (673,526

Net decrease in net assets resulting from distributions

       (2,492,438      (11,819,661

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (10,185,765      37,808,908   

REDEMPTION FEES

       1         13,497   

Total increase (decrease) in net assets

       (16,539,186      33,303,148   

NET ASSETS:

       

Beginning of period

       180,919,991         147,616,843   

End of period (including distributions in excess of net investment income of ($157,130) and ($367,605), respectively)

       $164,380,805         $180,919,991   

 

MATTHEWS ASIA VALUE FUND     

Six-Month Period

Ended June 30, 2016
(unaudited)

    

Period Ended

December 31, 20151

 

OPERATIONS:

       

Net investment income (loss)

       $4,746         $3,161   

Net realized gain (loss) on investments and foreign currency related transactions

       (10,520      (988

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       74,418         (16,746

Net increase (decrease) in net assets resulting from operations

       68,644         (14,573

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

               (1,748

Institutional Class

               (581

Net decrease in net assets resulting from distributions

               (2,329

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       220,584         1,749,497   

Total increase (decrease) in net assets

       289,228         1,732,595   

NET ASSETS:

       

Beginning of period

       1,732,595           

End of period (including undistributed net investment income of $12,518 and $7,772, respectively)

       $2,021,823         $1,732,595   

 

1 Matthews Asia Value commenced operations on November 30, 2015.

 

See accompanying notes to financial statements.

 

110    MATTHEWS ASIA FUNDS


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MATTHEWS ASIA FOCUS FUND     

Six-Month Period

Ended June 30, 2016

(unaudited)

    

Year Ended

December 31, 2015

 

OPERATIONS:

       

Net investment income (loss)

       $85,297         $170,208   

Net realized gain (loss) on investments and foreign currency related transactions

       (210,851      (610,875

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       844,247         (1,483,661

Net change on deferred foreign capital gains taxes on unrealized appreciation

               982   

Net increase (decrease) in net assets resulting from operations

       718,693         (1,923,346

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

               (43,929

Institutional Class

               (68,121

Realized gains on investments:

       

Investor Class

               (30,710

Institutional Class

               (30,458

Net decrease in net assets resulting from distributions

               (173,218

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (1,048,926      (1,717,388

REDEMPTION FEES

               1,869   

Total increase (decrease) in net assets

       (330,233      (3,812,083

NET ASSETS:

       

Beginning of period

       11,174,848         14,986,931   

End of period (including undistributed net investment income of $165,988 and $80,691, respectively)

       $10,844,615         $11,174,848   

 

MATTHEWS ASIA GROWTH FUND      Six-Month Period
Ended June 30,  2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       $2,622,798         $5,164,454   

Net realized gain (loss) on investments and foreign currency related transactions

       (1,549,313      13,893,458   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       17,913,609         (31,515,329

Net change on deferred foreign capital gains taxes on unrealized appreciation

       18,798         120,781   

Net increase (decrease) in net assets resulting from operations

       19,005,892         (12,336,636

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (114,060,944      (60,027,645

REDEMPTION FEES

               36,064   

Total increase (decrease) in net assets

       (95,055,052      (72,328,217

NET ASSETS:

       

Beginning of period

       776,855,763         849,183,980   

End of period (including undistributed net investment income of $2,901,723 and $278,925, respectively)

       $681,800,711         $776,855,763   

 

See accompanying notes to financial statements.

 

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MATTHEWS PACIFIC TIGER FUND      Six-Month Period
Ended June 30,  2016
(unaudited)
       Year Ended
December 31, 2015
 

OPERATIONS:

         

Net investment income (loss)

       $22,497,512           $130,008,860   

Net realized gain (loss) on investments and foreign currency related transactions

       98,388,899           665,475,960   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       144,140,331           (1,050,878,074

Net change on deferred foreign capital gains taxes on unrealized appreciation

                 5,827,625   

Net increase (decrease) in net assets resulting from operations

       265,026,742           (249,565,629

DISTRIBUTIONS TO SHAREHOLDERS FROM:

         

Net investment income:

         

Investor Class

                 (44,786,496

Institutional Class

                 (72,239,388

Realized gains on investments:

         

Investor Class

                 (237,860,447

Institutional Class

                 (343,244,442

Net decrease in net assets resulting from distributions

                 (698,130,773

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       34,124,206           (463,729,788

REDEMPTION FEES

       27           121,959   

Total increase (decrease) in net assets

       299,150,975           (1,411,304,231

NET ASSETS:

         

Beginning of period

       6,685,415,354           8,096,719,585   

End of period (including undistributed net investment income of $22,497,512 and $0, respectively)

       $6,984,566,329           $6,685,415,354   

 

MATTHEWS ASIA ESG FUND      Six-Month Period
Ended June 30,  2016
(unaudited)
     Period Ended
December 31, 20151
 

OPERATIONS:

       

Net investment income (loss)

       $31,392         $10,336   

Net realized gain (loss) on investments and foreign currency related transactions

       (34,708      (50,753

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       124,848         (119,098

Net change on deferred foreign capital gains taxes on unrealized appreciation

       (6,218      (9,835

Net increase (decrease) in net assets resulting from operations

       115,314         (169,350

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

               (16,506

Institutional Class

               (20,899

Net decrease in net assets resulting from distributions

               (37,405

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       3,494,128         5,141,106   

Total increase (decrease) in net assets

       3,609,442         4,934,351   

NET ASSETS:

       

Beginning of period

       4,934,351           

End of period (including undistributed net investment income of $58,097 and $26,705, respectively)

       $8,543,793         $4,934,351   

1   Matthews Asia ESG Fund commenced operations on April 30, 2015.

       

 

See accompanying notes to financial statements.

 

112    MATTHEWS ASIA FUNDS


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MATTHEWS EMERGING ASIA FUND      Six-Month Period
Ended June 30, 2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       $1,143,065         $703,470   

Net realized gain (loss) on investments and foreign currency related transactions

       2,706,007         (1,091,679

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       7,893,397         (4,197,814

Net change on deferred foreign capital gains taxes on unrealized appreciation

       530,592         (730,548

Net increase (decrease) in net assets resulting from operations

       12,273,061         (5,316,571

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

               (35,327

Institutional Class

               (46,163

Realized gains on investments:

       

Investor Class

               (300,074

Institutional Class

               (132,999

Net decrease in net assets resulting from distributions

               (514,563

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (30,695,791      43,937,018   

REDEMPTION FEES

       13,565         49,908   

Total increase (decrease) in net assets

       (18,409,165      38,155,792   

NET ASSETS:

       

Beginning of period

       169,868,495         131,712,703   

End of period (including undistributed net investment income of $1,419,800 and $276,735, respectively)

       $151,459,330         $169,868,495   

 

MATTHEWS ASIA INNOVATORS FUND      Six-Month Period
Ended June 30,  2016
(unaudited)1
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       ($15,557      ($506,623

Net realized gain (loss) on investments and foreign currency related transactions

       5,121,799         27,158,911   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       (13,498,547      (18,078,323

Net increase (decrease) in net assets resulting from operations

       (8,392,305      8,573,965   

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Realized gains on investments:

       

Investor Class

               (17,188,079

Institutional Class

               (4,989,441

Net decrease in net assets resulting from distributions

               (22,177,520

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (12,602,163      (6,569,665

REDEMPTION FEES

               5,577   

Total increase (decrease) in net assets

       (20,994,468      (20,167,643

NET ASSETS:

       

Beginning of period

       166,532,541         186,700,184   

End of period (including undistributed net investment income (loss) of ($15,557) and $0, respectively)

       $145,538,073         $166,532,541   

1   The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

      

  

 

See accompanying notes to financial statements.

 

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Statements of Changes in Net Assets (continued)

 

 

MATTHEWS CHINA FUND      Six-Month Period
Ended June 30, 2016
(unaudited)1
     Year Ended
December 31, 20151
 

OPERATIONS:

       

Net investment income (loss)

       $7,412,743         $8,470,215   

Net realized gain (loss) on investments and foreign currency related transactions

       2,700,071         131,220,057   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       (99,885,913      (106,930,741

Net change on deferred foreign capital gains taxes on unrealized appreciation

               4,990   

Net increase (decrease) in net assets resulting from operations

       (89,773,099      32,764,521   

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

               (7,271,979

Institutional Class

               (292,369

Realized gains on investments:

       

Investor Class

               (112,695,199

Institutional Class

               (3,998,950

Net decrease in net assets resulting from distributions

               (124,258,497

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (64,751,419      (174,745,783

REDEMPTION FEES

               64,297   

Total increase (decrease) in net assets

       (154,524,518      (266,175,462

NET ASSETS:

       

Beginning of period

       734,043,083         1,000,218,545   

End of period (including undistributed/(distributions in excess of) net investment income of $7,379,875 and ($32,868), respectively)

       $579,518,565         $734,043,083   

1   Consolidated Statements of Changes in Net Assets. See Note 2-C.

       

 

MATTHEWS INDIA FUND      Six-Month Period
Ended June 30, 2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       $3,531,573         ($2,170,656

Net realized gain (loss) on investments and foreign currency related transactions

       (5,611,039      23,846,810   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       30,575,825         (62,183,356

Net change on deferred foreign capital gains taxes on unrealized appreciation

       1,942,487         6,684,572   

Net increase (decrease) in net assets resulting from operations

       30,438,846         (33,822,630

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

               (1,210,919

Institutional Class

               (713,191

Realized gains on investments:

       

Investor Class

               (10,496,814

Institutional Class

               (3,018,487

Net decrease in net assets resulting from distributions

               (15,439,411

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       57,774,650         469,778,771   

REDEMPTION FEES

               1,141,560   

Total increase (decrease) in net assets

       88,213,496         421,658,290   

NET ASSETS:

       

Beginning of period

       1,505,826,994         1,084,168,704   

End of period (including undistributed/(distributions in excess of) net investment income of $3,480,708 and ($50,865), respectively)

       $1,594,040,490         $1,505,826,994   

 

See accompanying notes to financial statements.

 

114    MATTHEWS ASIA FUNDS


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MATTHEWS JAPAN FUND      Six-Month Period
Ended June 30, 2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       $9,473,102         $2,748,307   

Net realized gain (loss) on investments and foreign currency related transactions

       (29,172,431      24,616,954   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       270,801,355         124,628,729   

Net increase (decrease) in net assets resulting from operations

       251,102,026         151,993,990   

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       1,162,568,302         1,174,685,964   

REDEMPTION FEES

               42,911   

Total increase (decrease) in net assets

       1,413,670,328         1,326,722,865   

NET ASSETS:

       

Beginning of period

       1,949,326,670         622,603,805   

End of period (including undistributed net investment income of $10,650,893 and $1,177,791, respectively)

       $3,362,996,998         $1,949,326,670   

 

MATTHEWS KOREA FUND      Six-Month Period
Ended June 30, 2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       ($436,635      $423,029   

Net realized gain (loss) on investments and foreign currency related transactions

       7,163,705         13,649,607   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       (8,415,099      10,755,361   

Net increase (decrease) in net assets resulting from operations

       (1,688,029      24,827,997   

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

               (299,912

Institutional Class

               (230,197

Realized gains on investments:

       

Investor Class

               (7,587,708

Institutional Class

               (3,214,060

Net decrease in net assets resulting from distributions

               (11,331,877

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (42,110,006      (25,043,885

REDEMPTION FEES

       1         10,431   

Total increase (decrease) in net assets

       (43,798,034      (11,537,334

NET ASSETS:

       

Beginning of period

       207,667,042         219,204,376   

End of period (including distributions in excess of net investment income of ($530,043) and ($93,408), respectively)

       $163,869,008         $207,667,042   

 

See accompanying notes to financial statements.

 

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Table of Contents

Statements of Changes in Net Assets (continued)

 

 

MATTHEWS ASIA SMALL COMPANIES FUND      Six-Month Period
Ended June 30, 2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       $1,017,793         $1,492,221   

Net realized gain (loss) on investments and foreign currency related transactions

       (10,231,367      (8,000,630

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       2,568,774         (74,037,016

Net change on deferred foreign capital gains taxes on unrealized appreciation

       56,811         378,114   

Net increase (decrease) in net assets resulting from operations

       (6,587,989      (80,167,311

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

               (527,668

Institutional Class

               (972,889

Net decrease in net assets resulting from distributions

               (1,500,557

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (63,369,171      15,106,280   

REDEMPTION FEES

       106,802         226,015   

Total increase (decrease) in net assets

       (69,850,358      (66,335,573

NET ASSETS:

       

Beginning of period

       609,914,708         676,250,281   

End of period (including undistributed net investment income of $2,261,963 and $1,244,170, respectively)

       $540,064,350         $609,914,708   

 

MATTHEWS CHINA SMALL COMPANIES FUND      Six-Month Period
Ended June 30, 2016
(unaudited)
     Year Ended
December 31, 2015
 

OPERATIONS:

       

Net investment income (loss)

       $177,703         $178,243   

Net realized gain (loss) on investments and foreign currency related transactions

       (921,235      3,458,391   

Net change in unrealized appreciation/depreciation on investments and foreign currency related translations

       (521,670      (3,136,775

Net increase (decrease) in net assets resulting from operations

       (1,265,202      499,859   

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income:

       

Investor Class

               (146,067

Realized gains on investments:

       

Investor Class

               (1,644,128

Net decrease in net assets resulting from distributions

               (1,790,195

CAPITAL SHARE TRANSACTIONS (net) (Note 4)

       (1,852,741      743,769   

REDEMPTION FEES

       2,747         24,657   

Total increase (decrease) in net assets

       (3,115,196      (521,910

NET ASSETS:

       

Beginning of period

       21,546,002         22,067,912   

End of period (including undistributed net investment income of $179,049 and $1,346, respectively)

       $18,430,806         $21,546,002   

 

See accompanying notes to financial statements.

 

116    MATTHEWS ASIA FUNDS


Table of Contents

Financial Highlights

Matthews Asia Strategic Income Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

 

    
 
 

 

Six-Month
Period Ended
June 30, 2016

(unaudited)

  
  
  

  

     Year Ended Dec. 31        

 

Period Ended

Dec. 31, 20111

  

  

INVESTOR CLASS       2015      2014      2013      2012     

Net Asset Value, beginning of period

     $9.96         $10.31         $10.42         $10.84         $9.93         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)2

     0.23         0.47         0.46         0.40         0.37         0.02   

Net realized gain (loss) and unrealized appreciation/depreciation on investments, financial futures contracts and foreign currency

     0.35         (0.53      (0.19      (0.48      0.95         (0.07

Total from investment operations

     0.58         (0.06      0.27         (0.08      1.32         (0.05

LESS DISTRIBUTIONS FROM:

                 

Net investment income

     (0.17      (0.29      (0.38      (0.35      (0.42      (0.02

Net realized gains on investments

                             (0.01                

Total distributions

     (0.17      (0.29      (0.38      (0.36      (0.42      (0.02

Paid-in capital from redemption fees (Note 4)

             3       3       0.02         0.01           

Net Asset Value, end of period

     $10.37         $9.96         $10.31         $10.42         $10.84         $9.93   

TOTAL RETURN

     5.83% 4       (0.58%      2.54%         (0.50%      13.62%         (0.52% )4 

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $52,281         $51,130         $58,594         $38,051         $29,479         $7,746   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator
(Note 5)

     1.26% 5       1.28%         1.27%         1.28%         1.85%         3.20% 5 

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     1.15% 5       1.12%         1.13%         1.20%         1.17%         1.00% 5 

Ratio of net investment income (loss) to average net assets

     4.64% 5       4.57%         4.36%         3.75%         3.58%         2.06% 5 

Portfolio turnover6

     35.92% 4       50.09%         34.28%         48.71%         18.45%         3.66% 4 

 

    
 
 

 

Six-Month
Period Ended
June 30, 2016

(unaudited)

  
  
  

  

     Year Ended Dec. 31        

 

Period Ended

Dec. 31, 20111

  

  

INSTITUTIONAL CLASS       2015      2014      2013      2012     

Net Asset Value, beginning of period

     $9.96         $10.30         $10.42         $10.83         $9.93         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)2

     0.25         0.49         0.48         0.42         0.39         0.02   

Net realized gain (loss) and unrealized appreciation/depreciation on investments, financial futures contracts, and foreign currency

     0.33         (0.52      (0.20      (0.46      0.94         (0.07

Total from investment operations

     0.58         (0.03      0.28         (0.04      1.33         (0.05

LESS DISTRIBUTIONS FROM:

                 

Net investment income

     (0.18      (0.31      (0.40      (0.38      (0.44      (0.02

Net realized gains on investments

                             (0.01                

Total distributions

     (0.18      (0.31      (0.40      (0.39      (0.44      (0.02

Paid-in capital from redemption fees (Note 4)

             3       3       0.02         0.01           

Net Asset Value, end of period

     $10.36         $9.96         $10.30         $10.42         $10.83         $9.93   

TOTAL RETURN

     5.86% 4       (0.27%      2.64%         (0.20%      13.74%         (0.52% )4 

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $10,981         $11,001         $7,840         $7,662         $6,205         $5,266   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator
(Note 5)

     1.04% 5       1.09%         1.07%         1.09%         1.70%         3.20% 5 

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     0.90% 5       0.90%         0.93%         1.00%         1.00%         1.00% 5 

Ratio of net investment income (loss) to average net assets

     4.88% 5       4.81%         4.55%         3.99%         3.70%         1.96% 5 

Portfolio turnover6

     35.92% 4       50.09%         34.28%         48.71%         18.45%         3.66% 4 

 

1 Commencement of operations on November 30, 2011.
2 Calculated using the average daily shares method.
3 Less than $0.01 per share.
4 Not annualized.
5 Annualized.
6 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

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Table of Contents

Financial Highlights (continued)

Matthews Asia Credit Opportunities Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

 

INVESTOR CLASS    Period Ended
June 30,  2016
(unaudited)1
 

Net Asset Value, beginning of period

     $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

  

Net investment income (loss)2

     0.06   

Net realized gain (loss) and unrealized appreciation/depreciation on investments
and foreign currency

     0.09   

Total from investment operations

     0.15   

LESS DISTRIBUTIONS FROM:

  

Net investment income

     (0.06

Total distributions

     (0.06

Net Asset Value, end of period

     $10.09   

TOTAL RETURN

     1.46% 3 

RATIOS/SUPPLEMENTAL DATA

  

Net assets, end of period (in 000’s)

     $7,746   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture
of expenses by Advisor and Administrator (Note 5)

     1.73% 4 

Ratio of expenses to average net assets after any reimbursement, waiver or recapture
of expenses by Advisor and Administrator

     1.15% 4 

Ratio of net investment income (loss) to average net assets

     3.47% 4 

Portfolio turnover5

     0.00% 3 
INSTITUTIONAL CLASS    Period Ended
June 30, 20161
(unaudited)
 

Net Asset Value, beginning of period

     $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

  

Net investment income (loss)2

     0.06   

Net realized gain (loss) and unrealized appreciation/depreciation on investments

  

and foreign currency

     0.08   

Total from investment operations

     0.14   

LESS DISTRIBUTIONS FROM:

  

Net investment income

     (0.06

Total distributions

     (0.06

Net Asset Value, end of period

     $10.08   

TOTAL RETURN

     1.41% 3 

RATIOS/SUPPLEMENTAL DATA

  

Net assets, end of period (in 000’s)

     $5,083   

Ratio of expenses to average net assets before any reimbursement,

  

waiver or recapture of expenses by Advisor and Administrator (Note 5)

     1.47% 4 

Ratio of expenses to average net assets after any reimbursement,

  

waiver or recapture of expenses by Advisor and Administrator

     0.90% 4 

Ratio of net investment income (loss) to average net assets

     3.55% 4 

Portfolio turnover5

     0.00% 3 

 

1 Commenced operations on April 29, 2016.
2 Calculated using the average daily shares method.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

118    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asian Growth and Income Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

 

 

  

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
INVESTOR CLASS       2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $16.03         $18.01         $18.91         $18.61         $15.07         $18.04   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.14         0.39         0.39         0.41         0.43         0.47   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.99         (1.19      (0.50      0.47         3.58         (2.36

Total from investment operations

     1.13         (0.80      (0.11      0.88         4.01         (1.89

LESS DISTRIBUTIONS FROM:

                 

Net investment income

     (0.15      (0.42      (0.35      (0.46      (0.47      (0.47

Net realized gains on investments

             (0.76      (0.44      (0.12              (0.61

Total distributions

     (0.15      (1.18      (0.79      (0.58      (0.47      (1.08

Paid-in capital from redemption fees (Note 4)

             2       2       2       2       2 

Net Asset Value, end of period

     $17.01         $16.03         $18.01         $18.91         $18.61         $15.07   

TOTAL RETURN

     7.05% 3       (4.50%      (0.65%      4.83%         26.90%         (10.62%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $2,035,935         $2,045,435         $3,052,565         $3,278,586         $3,214,984         $2,340,606   

Ratio of expenses to average net assets before any reimbursement or waiver or recapture of expenses by Advisor and Administrator (Note 5)

     1.11% 4       1.09%         1.08%         1.08%         1.11%         1.12%   

Ratio of expenses to average net assets after any reimbursement or waiver or recapture of expenses by Advisor and Administrator

     1.11% 4       1.09%         1.08%         1.08%         1.11%         1.12%   

Ratio of net investment income (loss) to average net assets

     1.79% 4       2.17%         2.03%         2.14%         2.52%         2.71%   

Portfolio turnover5

     7.34% 3       16.48%         16.79%         15.27%         17.43%         16.54%   
 

 

  

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
INSTITUTIONAL CLASS       2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $16.02         $18.00         $18.90         $18.60         $15.06         $18.04   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.16         0.42         0.42         0.44         0.45         0.52   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.97         (1.19      (0.50      0.48         3.58         (2.39

Total from investment operations

     1.13         (0.77      (0.08      0.92         4.03         (1.87

LESS DISTRIBUTIONS FROM:

                 

Net investment income

     (0.16      (0.45      (0.38      (0.50      (0.49      (0.50

Net realized gains on investments

             (0.76      (0.44      (0.12              (0.61

Total distributions

     (0.16      (1.21      (0.82      (0.62      (0.49      (1.11

Paid-in capital from redemption fees (Note 4)

             2       2       2       2       2 

Net Asset Value, end of period

     $16.99         $16.02         $18.00         $18.90         $18.60         $15.06   

TOTAL RETURN

     7.08% 3       (4.33%      (0.48%      5.04%         27.09%         (10.54%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $949,350         $823,619         $1,182,690         $1,120,218         $856,876         $531,493   

Ratio of expenses to average net assets before any reimbursement or waiver or recapture of expenses by Advisor and Administrator (Note 5)

     0.94% 4       0.92%         0.92%         0.93%         0.97%         0.99%   

Ratio of expenses to average net assets after any reimbursement or waiver or recapture of expenses by Advisor and Administrator

     0.94% 4       0.92%         0.92%         0.93%         0.97%         0.99%   

Ratio of net investment income (loss) to average net assets

     2.04% 4       2.34%         2.19%         2.30%         2.69%         3.05%   

Portfolio turnover5

     7.34% 3       16.48%         16.79%         15.27%         17.43%         16.54%   

 

1 Calculated using the average daily shares method.
2 Less than $0.01 per share.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

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Table of Contents

Financial Highlights (continued)

Matthews Asia Dividend Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

 

 

 

  

Six-Month
Period Ended
June 30, 20161

(unaudited)

     Year Ended Dec. 31  
INVESTOR CLASS       20151      20141      2013      2012      2011  

Net Asset Value, beginning of period

     $15.36         $15.26         $15.60         $14.58         $12.48         $14.33   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)2

     0.18         0.29         0.30         0.32         0.36         0.36   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.82         0.31         (0.34      1.30         2.30         (1.78

Total from investment operations

     1.00         0.60         (0.04      1.62         2.66         (1.42

LESS DISTRIBUTIONS FROM:

                 

Net investment income

     (0.20      (0.27      (0.23      (0.60      (0.56      (0.37

Return of capital

                     (0.07                        

Net realized gains on investments

             (0.23                              (0.06

Total distributions

     (0.20      (0.50      (0.30      (0.60      (0.56      (0.43

Paid-in capital from redemption fees (Note 4)3

                                               

Net Asset Value, end of period

     $16.16         $15.36         $15.26         $15.60         $14.58         $12.48   

TOTAL RETURN

     6.50% 4       3.86%         (0.32%      11.27%         21.63%         (10.02%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $2,709,574         $2,757,910         $2,918,228         $3,669,690         $2,780,043         $1,930,363   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator (Note 5)

     1.10% 5       1.06%         1.06%         1.06%         1.09%         1.10%   

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     1.09% 5       1.05%         1.05%         1.06%         1.09%         1.10%   

Ratio of net investment income (loss) to average net assets

     2.43% 5       1.82%         1.89%         2.04%         2.65%         2.61%   

Portfolio turnover6

     11.37% 4       35.98%         20.06%         14.06%         9.17%         16.48%   
 

 

  

Six-Month
Period Ended
June 30, 20161

(unaudited)

     Year Ended Dec. 31  
INSTITUTIONAL CLASS       20151      20141      2013      2012      2011  

Net Asset Value, beginning of period

     $15.35         $15.26         $15.59         $14.57         $12.48         $14.33   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)2

     0.18         0.32         0.32         0.34         0.37         0.41   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.84         0.29         (0.33      1.30         2.29         (1.82

Total from investment operations

     1.02         0.61         (0.01      1.64         2.66         (1.41

LESS DISTRIBUTIONS FROM:

                 

Net investment income

     (0.21      (0.29      (0.25      (0.62      (0.57      (0.38

Return of capital

                     (0.07                        

Net realized gains on investments

             (0.23                              (0.06

Total distributions

     (0.21      (0.52      (0.32      (0.62      (0.57      (0.44

Paid-in capital from redemption fees (Note 4)3

                                               

Net Asset Value, end of period

     $16.16         $15.35         $15.26         $15.59         $14.57         $12.48   

TOTAL RETURN

     6.66% 4       3.93%         (0.18%      11.43%         21.70%         (9.93%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $2,004,915         $2,045,713         $2,107,371         $2,124,214         $922,561         $344,502   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator (Note 5)

     0.94% 5       0.93%         0.93%         0.93%         0.97%         1.00%   

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     0.93% 5       0.92%         0.93%         0.93%         0.97%         1.00%   

Ratio of net investment income (loss) to average net assets

     2.42% 5       1.98%         2.02%         2.17%         2.72%         3.03%   

Portfolio turnover6

     11.37% 4       35.98%         20.06%         14.06%         9.17%         16.48%   

 

1 Consolidated Financial Highlights. See Note 2-C.
2 Calculated using the average daily shares method.
3 Less than $0.01 per share.
4 Not annualized.
5 Annualized.
6 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

120    MATTHEWS ASIA FUNDS


Table of Contents

Matthews China Dividend Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

 

 

 

  

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
INVESTOR CLASS       2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $13.79         $13.37         $13.74         $12.35         $10.06         $12.17   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.23         0.29         0.25         0.25         0.25         0.29   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     (0.35      1.01         (0.12      1.35         2.49         (2.04

Total from investment operations

     (0.12      1.30         0.13         1.60         2.74         (1.75

LESS DISTRIBUTIONS FROM:

                 

Net investment income

     (0.21      (0.28      (0.36      (0.23      (0.46      (0.35

Net realized gains on investments

             (0.60      (0.14                      (0.02

Total distributions

     (0.21      (0.88      (0.50      (0.23      (0.46      (0.37

Paid-in capital from redemption fees (Note 4)

     2       2       2       0.02         0.01         0.01   

Net Asset Value, end of period

     $13.46         $13.79         $13.37         $13.74         $12.35         $10.06   

TOTAL RETURN

     (0.87% )3       9.54%         0.93%         13.35%         27.81%         (14.44%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $144,923         $165,514         $116,954         $125,965         $59,535         $26,467   

Ratio of expenses to average net assets before any reimbursement or waiver or recapture of expenses by Advisor and Administrator (Note 5)

     1.21% 4       1.19%         1.19%         1.24%         1.47%         1.52%   

Ratio of expenses to average net assets after any reimbursement or waiver or recapture of expenses by Advisor and Administrator

    
1.21%
4 
     1.19%         1.19%         1.34%         1.50%         1.50%   

Ratio of net investment income (loss) to average net assets

     3.49% 4       1.97%         1.88%         1.94%         2.24%         2.47%   

Portfolio turnover5

     30.82% 3       79.91%         25.43%         20.52%         21.40%         22.31%   
 

 

  

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
INSTITUTIONAL CLASS       2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $13.79         $13.37         $13.74         $12.34         $10.06         $12.17   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.27         0.28         0.28         0.33         0.22         0.30   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     (0.38      1.04         (0.13      1.32         2.53         (2.01

Total from investment operations

     (0.11      1.32         0.15         1.65         2.75         (1.71

LESS DISTRIBUTIONS FROM:

                 

Net investment income

     (0.22      (0.30      (0.38      (0.26      (0.48      (0.38

Net realized gains on investments

             (0.60      (0.14                      (0.02

Total distributions

     (0.22      (0.90      (0.52      (0.26      (0.48      (0.40

Paid-in capital from redemption fees (Note 4)

     2       2       2       0.01         0.01         2 

Net Asset Value, end of period

     $13.46         $13.79         $13.37         $13.74         $12.34         $10.06   

TOTAL RETURN

     (0.76% )3       9.71%         1.11%         13.72%         27.90%         (14.22%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $19,458         $15,406         $30,662         $24,790         $201         $12   

Ratio of expenses to average net assets

     1.02% 4       1.00%         1.01%         1.08%         1.29%         1.31%   

Ratio of net investment income (loss) to average net assets

     4.13% 4       1.89%         2.06%         2.54%         1.87%         2.61%   

Portfolio turnover5

     30.82% 3       79.91%         25.43%         20.52%         21.40%         22.31%   

 

1 Calculated using the average daily shares method.
2 Less than $0.01 per share.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

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Table of Contents

Financial Highlights (continued)

Matthews Asia Value Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

 

INVESTOR CLASS    Six-Month
Period Ended
June 30, 2016
(unaudited)
     Period Ended
Dec. 31,  20151
 

Net Asset Value, beginning of period

     $9.85         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment income (loss)2

     0.02         0.02   

Net realized gain (loss) and unrealized appreciation/depreciation on investments
and foreign currency

     0.30         (0.16

Total from investment operations

     0.32         (0.14

LESS DISTRIBUTIONS FROM:

     

Net investment income

             (0.01

Total distributions

             (0.01

Paid-in capital from redemption fees (Note 4)

               

Net Asset Value, end of period

     $10.17         $9.85   

TOTAL RETURN3

     3.25%         (1.35%

RATIOS/SUPPLEMENTAL DATA

     

Net assets, end of period (in 000’s)

     $1,874         $1,589   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture
of expenses by Advisor and Administrator (Note 5)4

     10.12%         36.42%   

Ratio of expenses to average net assets after any reimbursement, waiver or recapture
of expenses by Advisor and Administrator4

     1.50%         1.50%   

Ratio of net investment income (loss) to average net assets4

     0.51%         2.70%   

Portfolio turnover3,5

     10.69%         10.80%   
INSTITUTIONAL CLASS    Six-Month
Period Ended
June 30, 2016
(unaudited)
     Period Ended
Dec. 31, 20151
 

Net Asset Value, beginning of period

     $9.83         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment income (loss)2

     0.03         0.02   

Net realized gain (loss) and unrealized appreciation/depreciation on investments
and foreign currency

     0.30         (0.15

Total from investment operations

     0.33         (0.13

LESS DISTRIBUTIONS FROM:

     

Net investment income

             (0.04

Total distributions

             (0.04

Paid-in capital from redemption fees (Note 4)

               

Net Asset Value, end of period

     $10.16         $9.83   

TOTAL RETURN3

     3.36%         (1.30%

RATIOS/SUPPLEMENTAL DATA

     

Net assets, end of period (in 000’s)

     $148         $143   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture
of expenses by Advisor and Administrator (Note 5)4

     9.89%         36.17%   

Ratio of expenses to average net assets after any reimbursement, waiver or recapture
of expenses by Advisor and Administrator4

     1.25%         1.25%   

Ratio of net investment income (loss) to average net assets4

     0.71%         2.41%   

Portfolio turnover3,5

     10.69%         10.80%   

 

1 Institutional Class commenced operations on November 30, 2015.
2 Calculated using the average daily shares method.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of share issues.

 

See accompanying notes to financial statements.

 

122    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Focus Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

 

 

  

Six-Month
Period Ended

June 30, 2016

(unaudited)

     Year Ended Dec. 31     

Period Ended

Dec. 31, 20131

 
INVESTOR CLASS       2015      2014     

Net Asset Value, beginning of period

     $8.69         $10.01         $9.66         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

           

Net investment income (loss)2

     0.06         0.11         0.09         0.04   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.52         (1.31      0.33         (0.30

Total from investment operations

     0.58         (1.20      0.42         (0.26

LESS DISTRIBUTIONS FROM:

           

Net investment income

             (0.07      (0.07      (0.08

Net realized gains on investments

             (0.05                

Total distributions

             (0.12      (0.07      (0.08

Paid-in capital from redemption fees (Note 4)

             3       3       3 

Net Asset Value, end of period

     $9.27         $8.69         $10.01         $9.66   

TOTAL RETURN

     6.68% 4       (12.07%      4.38%         (2.63% )4 

RATIOS/SUPPLEMENTAL DATA

           

Net assets, end of period (in 000’s)

     $4,948         $5,474         $7,839         $6,258   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator (Note 5)

     2.19% 5       2.07%         2.16%         3.50% 5 

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     1.63% 5       1.50%         1.57%         1.71% 5 

Ratio of net investment income (loss) to average net assets

     1.35% 5       1.08%         0.87%         0.64% 5 

Portfolio turnover6

     7.18% 4       23.60%         24.12%         16.23% 4 
 

 

  

Six-Month
Period Ended

June 30, 2016

(unaudited)

     Year Ended Dec. 31     

Period Ended

Dec. 31, 20131

 
INSTITUTIONAL CLASS       2015      2014     

Net Asset Value, beginning of period

     $8.69         $10.04         $9.66         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

           

Net investment income (loss)2

     0.08         0.13         0.10         0.05   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.52         (1.33      0.36         (0.30

Total from investment operations

     0.60         (1.20      0.46         (0.25

LESS DISTRIBUTIONS FROM:

           

Net investment income

             (0.10      (0.08      (0.09

Net realized gains on investments

             (0.05                

Total distributions

             (0.15      (0.08      (0.09

Paid-in capital from redemption fees (Note 4)

             3       —3         3 

Net Asset Value, end of period

     $9.29         $8.69         $10.04         $9.66   

TOTAL RETURN

     6.91% 4       (11.96%      4.77%         (2.48% )4 

RATIOS/SUPPLEMENTAL DATA

           

Net assets, end of period (in 000’s)

     $5,897         $5,700         $7,148         $2,118   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator (Note 5)

     1.88% 5       1.91%         1.94%         3.32% 5 

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     1.25% 5       1.25%         1.31%         1.50% 5 

Ratio of net investment income (loss) to average net assets

     1.77% 5       1.30%         0.96%         0.79% 5 

Portfolio turnover6

     7.18% 4       23.60%         24.12%         16.23% 4 

 

1 Commenced operations on April 30, 2013.
2 Calculated using the average daily shares method.
3 Less than $0.01 per share.
4 Not annualized.
5 Annualized.
6 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

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Table of Contents

Financial Highlights (continued)

Matthews Asia Growth Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

INVESTOR CLASS

    
 

 

 

Six-Month
Period Ended

June 30, 2016

(unaudited)

  
  

  

  

  

 

Year Ended Dec. 31

  

      2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $21.09         $21.10         $21.17         $18.02         $15.34         $17.97   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.07         0.11         0.12         0.11         0.15         0.11   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.70         (0.12      0.19         3.37         2.53         (2.41

Total from investment operations

     0.77         (0.01      0.31         3.48         2.68         (2.30

LESS DISTRIBUTIONS FROM:

                 

Net investment income

                     (0.38      (0.33              (0.35

Total distributions

                     (0.38      (0.33              (0.35

Paid-in capital from redemption fees (Note 4)

             2       2       2       2       0.02   

Net Asset Value, end of period

     $21.86         $21.09         $21.10         $21.17         $18.02         $15.34   

TOTAL RETURN

     3.65% 3       (0.05%      1.49%         19.35%         17.47%         (12.70%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $476,135         $526,969         $561,922         $558,407         $276,884         $259,166   

Ratio of expenses to average net assets

     1.15% 4       1.11%         1.11%         1.12%         1.16%         1.19%   

Ratio of net investment income (loss) to average net assets

     0.71% 4       0.49%         0.55%         0.55%         0.92%         0.63%   

Portfolio turnover5

     6.37% 3       29.51%         22.24%         10.77%         44.76%         28.06%   

 

    
 
 

 

Six-Month
Period Ended
June 30, 2016

(unaudited)

  
  
  

  

  

 

Year Ended Dec. 31

  

INSTITUTIONAL CLASS       2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $21.24         $21.19         $21.26         $18.08         $15.37         $17.98   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.09         0.16         0.16         0.15         0.17         0.14   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.70         (0.11      0.19         3.39         2.54         (2.42

Total from investment operations

     0.79         0.05         0.35         3.54         2.71         (2.28

LESS DISTRIBUTIONS FROM:

                 

Net investment income

                     (0.42      (0.36              (0.35

Total distributions

                     (0.42      (0.36              (0.35

Paid-in capital from redemption fees (Note 4)

             2       2       2       2       0.02   

Net Asset Value, end of period

     $22.03         $21.24         $21.19         $21.26         $18.08         $15.37   

TOTAL RETURN

     3.72% 3       0.24%         1.63%         19.63%         17.63%         (12.58%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $205,666         $249,886         $287,262         $227,852         $147,142         $84,302   

Ratio of expenses to average net assets

     0.94% 4       0.91%         0.91%         0.93%         0.98%         1.03%   

Ratio of net investment income (loss) to average net assets

     0.90% 4       0.72%         0.74%         0.73%         1.02%         0.84%   

Portfolio turnover5

     6.37% 3       29.51%         22.24%         10.77%         44.76%         28.06%   

 

1 Calculated using the average daily shares method.
2 Less than $0.01 per share.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

124    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Pacific Tiger Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

INVESTOR CLASS

  

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
      2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $23.54         $26.57         $24.99         $24.42         $20.33         $23.44   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.06         0.42         0.14         0.17         0.18         0.10   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.89         (0.82      2.80         0.72         4.09         (2.78

Total from investment operations

     0.95         (0.40      2.94         0.89         4.27         (2.68

LESS DISTRIBUTIONS FROM:

                 

Net investment income

             (0.42      (0.13      (0.16      (0.16      (0.11

Net realized gains on investments

             (2.21      (1.23      (0.16      (0.02      (0.33

Total distributions

             (2.63      (1.36      (0.32      (0.18      (0.44

Paid-in capital from redemption fees (Note 4)

     2       2       2       2       2       0.01   

Net Asset Value, end of period

     $24.49         $23.54         $26.57         $24.99         $24.42         $20.33   

TOTAL RETURN

     4.04% 3       (1.30%      11.79%         3.63%         21.00%         (11.41%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $2,638,612         $2,720,869         $3,047,077         $2,954,108         $2,994,026         $2,780,640   

Ratio of expenses to average net assets before any reimbursement or waiver or recapture of expenses by Advisor and Administrator (Note 5)

     1.11% 4       1.09%         1.09%         1.09%         1.11%         1.11%   

Ratio of expenses to average net assets after any reimbursement or waiver or recapture of expenses by Advisor and Administrator

     1.10% 4       1.07%         1.08%         1.09%         1.11%         1.11%   

Ratio of net investment income (loss) to average net assets

     0.56% 4       1.53%         0.52%         0.67%         0.82%         0.44%   

Portfolio turnover 5

     1.77% 3       12.56%         11.38%         7.73%         6.53%         10.51%   

INSTITUTIONAL CLASS

  

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
      2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $23.52         $26.56         $24.97         $24.41         $20.32         $23.44   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.09         0.44         0.18         0.21         0.21         0.23   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     0.88         (0.80      2.82         0.71         4.10         (2.87

Total from investment operations

     0.97         (0.36      3.00         0.92         4.31         (2.64

LESS DISTRIBUTIONS FROM:

                 

Net investment income

             (0.47      (0.18      (0.20      (0.20      (0.15

Net realized gains on investments

             (2.21      (1.23      (0.16      (0.02      (0.33

Total distributions

             (2.68      (1.41      (0.36      (0.22      (0.48

Paid-in capital from redemption fees (Note 4)2

                                               

Net Asset Value, end of period

     $24.49         $23.52         $26.56         $24.97         $24.41         $20.32   

TOTAL RETURN

     4.12% 3       (1.15%      12.03%         3.78%         21.24%         (11.28%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $4,345,955         $3,964,547         $5,049,643         $4,679,039         $3,770,568         $2,029,091   

Ratio of expenses to average net assets before any reimbursement or waiver or recapture of expenses by Advisor and Administrator (Note 5)

     0.92% 4       0.91%         0.92%         0.92%         0.95%         0.95%   

Ratio of expenses to average net assets after any reimbursement or waiver or recapture of expenses by Advisor and Administrator

     0.90% 4       0.89%         0.91%         0.92%         0.95%         0.95%   

Ratio of net investment income (loss) to average net assets

     0.79% 4       1.61%         0.68%         0.83%         0.95%         1.03%   

Portfolio turnover5

     1.77% 3       12.56%         11.38%         7.73%         6.53%         10.51%   

 

1 Calculated using the average daily shares method.
2 Less than $0.01 per share.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

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Table of Contents

Financial Highlights (continued)

Matthews Asia ESG Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

 

INVESTOR CLASS    Six-Month
Period Ended
June 30, 2016
(unaudited)
     Period Ended
Dec. 31,  20151
 

Net Asset Value, beginning of period

     $9.23         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment income (loss)2

     0.04         0.02   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign
currency

     (0.17      (0.75

Total from investment operations

     (0.13      (0.73

LESS DISTRIBUTIONS FROM:

     

Net investment income

             (0.04

Total distributions

             (0.04

Paid-in capital from redemption fees (Note 4)

               

Net Asset Value, end of period

     $9.10         $9.23   

TOTAL RETURN3

     (1.41%      (7.30%

RATIOS/SUPPLEMENTAL DATA

     

Net assets, end of period (in 000’s)

     $5,608         $3,248   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses
by Advisor and Administrator (Note 5)4

     3.68%         9.09%   

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses
by Advisor and Administrator4

     1.45%         1.44%   

Ratio of net investment income (loss) to average net assets4

     0.91%         0.25%   

Portfolio turnover3,5

     5.38%         21.72%   
INSTITUTIONAL CLASS    Six-Month
Period Ended
June 30, 2016
(unaudited)
     Period Ended
Dec. 31, 20151
 

Net Asset Value, beginning of period

     $9.17         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment income (loss)2

     0.05         0.05   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign
currency

     (0.17      (0.77

Total from investment operations

     (0.12      (0.72

LESS DISTRIBUTIONS FROM:

     

Net investment income

             (0.11

Total distributions

             (0.11

Paid-in capital from redemption fees (Note 4)

               

Net Asset Value, end of period

     $9.05         $9.17   

TOTAL RETURN3

     (1.31%      (7.14%

RATIOS/SUPPLEMENTAL DATA

     

Net assets, end of period (in 000’s)

     $2,936         $1,686   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses
by Advisor and Administrator (Note 5)4

     3.50%         8.90%   

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses
by Advisor and Administrator4

     1.25%         1.25%   

Ratio of net investment income (loss) to average net assets4

     1.06%         0.75%   

Portfolio turnover3,5

     5.38%         21.72%   

 

1 Commenced operations on April 30, 2015.
2 Calculated using the average daily shares method.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

126    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Emerging Asia Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

INVESTOR CLASS     
 
 

 

Six-Month
Period Ended
June 30, 2016

(unaudited)

  
  
  

  

     Year Ended Dec. 31        

 

Period Ended

Dec. 31, 20131

  

  

      2015      2014     

Net Asset Value, beginning of period

     $11.27         $11.60         $9.93         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

           

Net investment income (loss)2

     0.07         0.04         0.04         (0.01

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     1.13         (0.34      1.69         (0.05

Total from investment operations

     1.20         (0.30      1.73         (0.06

LESS DISTRIBUTIONS FROM:

           

Net investment income

             3       (0.06      3 

Return of capital

                             (0.01

Net realized gains on investments

             (0.03                

Total distributions

             (0.03      (0.06      (0.01

Paid-in capital from redemption fees (Note 4)3

                               

Net Asset Value, end of period

     $12.47         $11.27         $11.60         $9.93   

TOTAL RETURN

     10.65% 4       (2.56%      17.39%         (0.61% )4 

RATIOS/SUPPLEMENTAL DATA

           

Net assets, end of period (in 000’s)

     $73,512         $114,590         $110,363         $38,022   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator (Note 5)

     1.78% 5       1.75%         1.78%         2.39% 5 

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     1.50% 5       1.50%         1.58%         1.98% 5 

Ratio of net investment income (loss) to average net assets

     1.22% 5       0.33%         0.34%         (0.08% )5 

Portfolio turnover6

     14.39% 4       12.14%         8.21%         1.66% 4 
INSTITUTIONAL CLASS     
 
 

 

Six-Month
Period Ended
June 30, 2016

(unaudited)

  
  
  

  

     Year Ended Dec. 31        

 

Period Ended

Dec. 31, 20131

  

  

      2015      2014     

Net Asset Value, beginning of period

     $11.29         $11.60         $9.92         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

           

Net investment income (loss)2

     0.12         0.07         0.06         0.01   

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     1.10         (0.34      1.69         (0.07

Total from investment operations

     1.22         (0.27      1.75         (0.06

LESS DISTRIBUTIONS FROM:

           

Net investment income

             (0.01      (0.07      3 

Return of capital

                             (0.02

Net realized gains on investments

             (0.03                

Total distributions

             (0.04      (0.07      (0.02

Paid-in capital from redemption fees (Note 4)3

                               

Net Asset Value, end of period

     $12.51         $11.29         $11.60         $9.92   

TOTAL RETURN

     10.81% 4       (2.33%      17.68%         (0.55% )4 

RATIOS/SUPPLEMENTAL DATA

           

Net assets, end of period (in 000’s)

     $77,948         $55,278         $21,350         $2,017   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator (Note 5)

     1.60% 5       1.57%         1.59%         2.21% 5 

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     1.25% 5       1.25%         1.33%         1.75% 5 

Ratio of net investment income (loss) to average net assets

     2.12% 5       0.65%         0.55%         0.19% 5 

Portfolio turnover6

     14.39% 4       12.14%         8.21%         1.66% 4 

 

1 Commenced operations on April 30, 2013.
2 Calculated using the average daily shares method.
3 Less than $0.01 per share.
4 Not annualized.
5 Annualized.
6 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

matthewsasia.com  |  800.789.ASIA      127   


Table of Contents

Financial Highlights (continued)

Matthews Asia Innovators Fund*

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

 

INVESTOR CLASS

    
 
 

 

Six-Month
Period Ended
June 30, 2016

(unaudited)

  
  
  

  

    Year Ended Dec. 31   
     2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $12.32        $13.61         $12.59         $9.29         $8.16         $9.89   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                

Net investment income (loss)1

     (0.01     (0.05      2       0.01         0.03         0.02   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     (0.58     0.64         1.16         3.30         1.12         (1.74

Total from investment operations

     (0.59     0.59         1.16         3.31         1.15         (1.72

LESS DISTRIBUTIONS FROM:

                

Net investment income

                    (0.06      (0.01      (0.02      (0.02

Net realized gains on investments

            (1.88      (0.08                        

Total distributions

            (1.88      (0.14      (0.01      (0.02      (0.02

Paid-in capital from redemption fees (Note 4)

            2       2       2       2       0.01   

Net Asset Value, end of period

     $11.73        $12.32         $13.61         $12.59         $9.29         $8.16   

TOTAL RETURN

     (4.79% )3      4.48%         9.24%         35.61%         14.11%         (17.26%

RATIOS/SUPPLEMENTAL DATA

                

Net assets, end of period (in 000’s)

     $107,362        $129,763         $125,612         $111,751         $131,629         $153,349   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator
(Note 5)

     1.21% 4      1.18%         1.16%         1.18%         1.18%         1.21%   

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     1.20% 4      1.18%         1.16%         1.18%         1.18%         1.21%   

Ratio of net investment income (loss) to average net assets

     (0.09% )4      (0.33%      (0.02%      0.07%         0.30%         0.23%   

Portfolio turnover

     44.56% 3,5      72.85% 5       62.99% 5       62.04% 5       45.76%         65.47%   

 

INSTITUTIONAL CLASS     

 
 

 

Six-Month

Period Ended
June 30, 2016

(unaudited)

  

  
  

  

     Year Ended Dec. 31        

 

Period Ended

Dec. 31, 20136

  

  

      2015      2014     

Net Asset Value, beginning of period

     $12.34         $13.61         $12.58         $10.09   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

           

Net investment income (loss)1

     0.01         (0.02      0.03         0.04   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     (0.59      0.63         1.17         2.48   

Total from investment operations

     (0.58      0.61         1.20         2.52   

LESS DISTRIBUTIONS FROM:

           

Net investment income

                     (0.09      (0.03

Net realized gains on investments

             (1.88      (0.08        

Total distributions

             (1.88      (0.17      (0.03

Paid-in capital from redemption fees (Note 4)

             2       2       2 

Net Asset Value, end of period

     $11.76         $12.34         $13.61         $12.58   

TOTAL RETURN

     (4.70% )3       4.63%         9.54%         24.99% 3 

RATIOS/SUPPLEMENTAL DATA

           

Net assets, end of period (in 000’s)

     $38,176         $36,770         $61,088         $49,236   

Ratio of expenses to average net assets before any reimbursement,
waiver or recapture of expenses by Advisor and Administrator (Note 5)

     0.98% 4       0.97%         0.95%         1.00% 4 

Ratio of expenses to average net assets after any reimbursement,
waiver or recapture of expenses by Advisor and Administrator

     0.97% 4       0.97%         0.95%         1.00% 4 

Ratio of net investment income (loss) to average net assets

     0.20% 4       (0.16%      0.21%         0.56% 4 

Portfolio turnover5

     44.56% 3       72.85%         62.99%         62.04% 3 

 

* The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.
1 Calculated using the average daily shares method.
2 Less than $0.01 per share.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.
6 Institutional Class commenced operations on April 30, 2013.

 

See accompanying notes to financial statements.

 

128    MATTHEWS ASIA FUNDS


Table of Contents

Matthews China Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

INVESTOR CLASS

  

Six-Month
Period Ended
June 30, 20161

(unaudited)

     Year Ended Dec. 31  
      20151      20141      2013      2012      2011  

Net Asset Value, beginning of period

     $18.42         $21.46         $22.84         $23.47         $21.51         $29.36   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)2

     0.20         0.20         0.24         0.25         0.30         0.26   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     (2.43      0.30         (1.25      1.33         2.26         (5.78

Total from investment operations

     (2.23      0.50         (1.01      1.58         2.56         (5.52

LESS DISTRIBUTIONS FROM:

                 

Net investment income

             (0.21      (0.27      (0.26      (0.35      (0.28

Net realized gains on investments

             (3.33      (0.10      (1.95      (0.25      (2.06

Total distributions

             (3.54      (0.37      (2.21      (0.60      (2.34

Paid-in capital from redemption fees (Note 4)

             3       3       3       3       0.01   

Net Asset Value, end of period

     $16.19         $18.42         $21.46         $22.84         $23.47         $21.51   

TOTAL RETURN

     (12.11% )4       2.41%         (4.42%      6.84%         11.96%         (18.93%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $553,370         $709,767         $947,740         $1,286,309         $1,642,090         $1,836,333   

Ratio of expenses to average net assets

     1.21% 5       1.14%         1.11%         1.08%         1.12%         1.13%   

Ratio of net investment income (loss) to average net assets

     2.50% 5       0.89%         1.09%         1.06%         1.33%         0.93%   

Portfolio turnover6

     48.23% 4       66.22%         10.23%         6.29%         9.61%         8.43%   
INSTITUTIONAL CLASS   

Six-Month
Period Ended
June 30, 20161

(unaudited)

     Year Ended Dec. 31  
      20151      20141      2013      2012      2011  

Net Asset Value, beginning of period

     $18.39         $21.44         $22.81         $23.45         $21.49         $29.36   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)2

     0.23         0.25         0.28         0.26         0.36         0.26   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     (2.45      0.27         (1.25      1.36         2.25         (5.73

Total from investment operations

     (2.22      0.52         (0.97      1.62         2.61         (5.47

LESS DISTRIBUTIONS FROM:

                 

Net investment income

             (0.24      (0.30      (0.31      (0.40      (0.34

Net realized gains on investments

             (3.33      (0.10      (1.95      (0.25      (2.06

Total distributions

             (3.57      (0.40      (2.26      (0.65      (2.40

Paid-in capital from redemption fees (Note 4)

             3       3       3       3       3 

Net Asset Value, end of period

     $16.17         $18.39         $21.44         $22.81         $23.45         $21.49   

TOTAL RETURN

     (12.07% )4       2.50%         (4.22%      6.97%         12.22%         (18.80%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $26,149         $24,276         $52,478         $117,678         $390,744         $288,277   

Ratio of expenses to average net assets

     1.09% 5       0.99%         0.95%         0.91%         0.91%         0.96%   

Ratio of net investment income (loss) to average net assets

     2.88% 5       1.09%         1.27%         1.13%         1.58%         0.99%   

Portfolio turnover6

     48.23% 4       66.22%         10.23%         6.29%         9.61%         8.43%   

 

1 Consolidated Financial Highlights. See Note 2-C.
2 Calculated using the average daily shares method.
3 Less than $0.01 per share.
4 Not annualized.
5 Annualized.
6 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of share issued.

 

See accompanying notes to financial statements.

 

matthewsasia.com  |  800.789.ASIA      129   


Table of Contents

Financial Highlights (continued)

Matthews India Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

INVESTOR CLASS

  

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
      2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $26.43         $26.46         $16.28         $17.51         $13.59         $21.49   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.05         (0.05      0.07         0.08         0.11         0.11   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     0.42         0.26         10.29         (1.13      4.17         (7.96

Total from investment operations

     0.47         0.21         10.36         (1.05      4.28         (7.85

LESS DISTRIBUTIONS FROM:

                 

Net investment income

             (0.03      (0.05      (0.18      (0.09      (0.07

Net realized gains on investments

             (0.23      (0.14      (0.01      (0.27        

Total distributions

             (0.26      (0.19      (0.19      (0.36      (0.07

Paid-in capital from redemption fees (Note 4)

             0.02         0.01         0.01         2       0.02   

Net Asset Value, end of period

     $26.90         $26.43         $26.46         $16.28         $17.51         $13.59   

TOTAL RETURN

     1.78% 3       0.90%         63.71%         (5.90%      31.54%         (36.48%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $1,094,818         $1,151,948         $974,838         $427,861         $607,800         $559,337   

Ratio of expenses to average net assets

     1.13% 4       1.11%         1.12%         1.13%         1.18%         1.18%   

Ratio of net investment income (loss) to average net assets

     0.42% 4       (0.17%      0.32%         0.48%         0.65%         0.58%   

Portfolio turnover5

     5.58% 3       9.51%         14.86%         8.70%         7.03%         3.51%   
INSTITUTIONAL CLASS   

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
      2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $26.49         $26.49         $16.31         $17.53         $13.61         $21.48   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.08         0.01         0.09         0.10         0.14         0.16   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     0.42         0.26         10.29         (1.11      4.17         (7.96

Total from investment operations

     0.50         0.27         10.38         (1.01      4.31         (7.80

LESS DISTRIBUTIONS FROM:

                 

Net investment income

             (0.06      (0.08      (0.21      (0.12      (0.07

Net realized gains on investments

             (0.23      (0.14      (0.01      (0.27        

Total distributions

             (0.29      (0.22      (0.22      (0.39      (0.07

Paid-in capital from redemption fees (Note 4)

             0.02         0.02         0.01         2       2 

Net Asset Value, end of period

     $26.99         $26.49         $26.49         $16.31         $17.53         $13.61   

TOTAL RETURN

     1.89% 3       1.12%         63.80%         (5.67%      31.74%         (36.35%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $499,223         $353,879         $109,331         $3,234         $36,166         $26,920   

Ratio of expenses to average net assets

     0.90% 4       0.90%         0.94%         0.95%         0.98%         0.99%   

Ratio of net investment income (loss) to average net assets

     0.66% 4       0.02%         0.38%         0.61%         0.87%         0.86%   

Portfolio turnover5

     5.58% 3       9.51%         14.86%         8.70%         7.03%         3.51%   

 

1 Calculated using the average daily shares method.
2 Less than $0.01 per share.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

130    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Japan Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

INVESTOR CLASS   

Six-Month

Period Ended

June 30, 2016

(unaudited)

     Year Ended Dec. 31  
      2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $18.97         $15.70         $16.20         $12.27         $11.34         $12.53   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.06         0.04         0.05         0.03         0.10         0.07   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     1.13         3.23         (0.48      4.12         0.84         (1.06

Total from investment operations

     1.19         3.27         (0.43      4.15         0.94         (0.99

LESS DISTRIBUTIONS FROM:

                 

Net investment income

                     (0.08      (0.24      (0.01      (0.22

Total distributions

                     (0.08      (0.24      (0.01      (0.22

Paid-in capital from redemption fees (Note 4)

             2       0.01         0.02         2       0.02   

Net Asset Value, end of period

     $20.16         $18.97         $15.70         $16.20         $12.27         $11.34   

TOTAL RETURN

     6.27% 3       20.83%         (2.60%      34.03%         8.32%         (7.72%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $2,159,899         $1,330,743         $467,854         $312,988         $82,463         $101,369   

Ratio of expenses to average net assets

     0.92% 4       0.99%         1.03%         1.10%         1.20%         1.22%   

Ratio of net investment income (loss) to average net assets

     0.65% 4       0.22%         0.32%         0.19%         0.81%         0.54%   

Portfolio turnover5

     16.41% 3       24.19%         42.52%         22.72%         48.58%         34.94%   
INSTITUTIONAL CLASS   

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
      2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $19.00         $15.71         $16.20         $12.26         $11.34         $12.53   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     0.07         0.05         0.09         0.06         0.12         0.06   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     1.13         3.24         (0.50      4.12         0.84         (1.04

Total from investment operations

     1.20         3.29         (0.41      4.18         0.96         (0.98

LESS DISTRIBUTIONS FROM:

                 

Net investment income

                     (0.09      (0.26      (0.04      (0.22

Total distributions

                     (0.09      (0.26      (0.04      (0.22

Paid-in capital from redemption fees (Note 4)

             2       0.01         0.02         2       0.01   

Net Asset Value, end of period

     $20.20         $19.00         $15.71         $16.20         $12.26         $11.34   

TOTAL RETURN

     6.32% 3       20.94%         (2.47%      34.27%         8.47%         (7.72%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $1,203,098         $618,583         $154,750         $59,702         $22,233         $30,302   

Ratio of expenses to average net assets

     0.85% 4       0.87%         0.90%         0.96%         1.04%         1.07%   

Ratio of net investment income (loss) to average net assets

     0.78% 4       0.28%         0.58%         0.41%         0.99%         0.46%   

Portfolio turnover5

     16.41% 3       24.19%         42.52%         22.72%         48.58%         34.94%   

 

1 Calculated using the average daily shares method.
2 Less than $0.01 per share.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.

 

See accompanying notes to financial statements.

 

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Table of Contents

Financial Highlights (continued)

Matthews Korea Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

INVESTOR CLASS   

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
      2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $6.15         $5.65         $5.95         $5.64         $4.59         $5.14   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     (0.01      0.01         2       2       2       (0.01

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     (0.01      0.83         (0.05      0.57         1.10         (0.31

Total from investment operations

     (0.02      0.84         (0.05      0.57         1.10         (0.32

LESS DISTRIBUTIONS FROM:

                 

Net investment income

             (0.01              (0.02              (0.01

Net realized gains on investments

             (0.33      (0.25      (0.24      (0.05      (0.22

Total distributions

             (0.34      (0.25      (0.26      (0.05      (0.23

Paid-in capital from redemption fees (Note 4)2

                                               

Net Asset Value, end of period

     $6.13         $6.15         $5.65         $5.95         $5.64         $4.59   

TOTAL RETURN

     (0.33% )3       15.16%         (0.73%      10.11%         24.05%         (6.45%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $133,614         $147,685         $127,774         $138,830         $141,247         $141,590   

Ratio of expenses to average net assets

     1.13% 4       1.10%         1.11%         1.13%         1.16%         1.18%   

Ratio of net investment income (loss) to average net assets

     (0.50% )4       0.18%         0.04%         0.02%         0.01%         (0.18%

Portfolio turnover 5

     15.25% 3       20.36%         17.37%         46.20%         34.84%         30.13%   
INSTITUTIONAL CLASS   

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31  
      2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $6.18         $5.68         $5.96         $5.67         $4.61         $5.14   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)1

     (0.01      0.02         0.05         2       2       0.17   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     2       0.83         (0.08      0.56         1.11         (0.47

Total from investment operations

     (0.01      0.85         (0.03      0.56         1.11         (0.30

LESS DISTRIBUTIONS FROM:

                 

Net investment income

             (0.02              (0.03              (0.01

Net realized gains on investments

             (0.33      (0.25      (0.24      (0.05      (0.22

Total distributions

             (0.35      (0.25      (0.27      (0.05      (0.23

Paid-in capital from redemption fees (Note 4)2

                                               

Net Asset Value, end of period

     $6.17         $6.18         $5.68         $5.96         $5.67         $4.61   

TOTAL RETURN

     (0.16% )3       15.27%         (0.39%      9.87%         24.16%         (6.05%

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $30,256         $59,982         $91,431         $12,283         $8,597         $15,109   

Ratio of expenses to average net assets

     0.92% 4       0.93%         0.93%         0.97%         1.00%         1.07%   

Ratio of net investment income (loss) to average net assets

     (0.31% )4       0.28%         0.87%         (0.03%      (0.07%      3.37%   

Portfolio turnover5

     15.25% 3       20.36%         17.37%         46.20%         34.84%         30.13%   

 

1 Calculated using the average daily shares method.
2 Less than $0.01 per share.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of share issued.

 

See accompanying notes to financial statements.

 

132    MATTHEWS ASIA FUNDS


Table of Contents

Matthews Asia Small Companies Fund

The tables below set forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

INVESTOR CLASS   

Six-Month
Period Ended
June 30, 2016

(unaudited)

    Year Ended Dec. 31  
     2015      2014      2013      2012      2011  

Net Asset Value, beginning of period

     $19.41        $21.46         $19.34         $18.13         $14.77         $21.16   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                

Net investment income (loss)1

     0.03        0.02         0.09         0.11         0.17         0.15   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     (0.16     (2.05      2.11         1.19         3.36         (4.35

Total from investment operations

     (0.13     (2.03      2.20         1.30         3.53         (4.20

LESS DISTRIBUTIONS FROM:

                

Net investment income

            (0.03      (0.08      (0.09      (0.09      (0.17

Net realized gains on investments

                                    (0.08      (2.04

Total distributions

            (0.03      (0.08      (0.09      (0.17      (2.21

Paid-in capital from redemption fees (Note 4)

     2      0.01         2       2       2       0.02   

Net Asset Value, end of period

     $19.28        $19.41         $21.46         $19.34         $18.13         $14.77   

TOTAL RETURN

     (0.67% )3      (9.43%      11.39%         7.19%         23.92%         (20.03%

RATIOS/SUPPLEMENTAL DATA

                

Net assets, end of period (in 000’s)

     $338,550        $387,747         $599,082         $407,352         $366,753         $258,944   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator (Note 5)

     1.49% 4      1.48%         1.47%         1.47%         1.50%         1.52%   

Ratio of expenses to average net assets after any reimbursement, waiver or recapture of expenses by Advisor and Administrator

     1.48% 4      1.47%         1.47%         1.47%         1.50%         1.52%   

Ratio of net investment income (loss) to average net assets

     0.28% 4      0.08%         0.44%         0.58%         1.06%         0.76%   

Portfolio turnover

     19.85% 3,5      48.29% 5       21.70% 5       37.01% 5       27.95%         19.97%   

 

INSTITUTIONAL CLASS   

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31     

Period Ended

Dec. 31, 20136

 
      2015      2014     

Net Asset Value, beginning of period

     $19.40         $21.46         $19.33         $19.44   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

           

Net investment income (loss)1

     0.05         0.11         0.15         0.18   

Net realized gain (loss) and unrealized appreciation/
depreciation on investments and foreign currency

     (0.16      (2.10      2.10         (0.16

Total from investment operations

     (0.11      (1.99      2.25         0.02   

LESS DISTRIBUTIONS FROM:

           

Net investment income

             (0.08      (0.12      (0.13

Net realized gains on investments

                               

Total distributions

             (0.08      (0.12      (0.13

Paid-in capital from redemption fees (Note 4)

     2       0.01         2       2 

Net Asset Value, end of period

     $19.29         $19.40         $21.46         $19.33   

TOTAL RETURN

     (0.57% )3       (9.23%      11.65%         0.13% 3 

RATIOS/SUPPLEMENTAL DATA

           

Net assets, end of period (in 000’s)

     $201,514         $222,168         $77,168         $44,769   

Ratio of expenses to average net assets before any reimbursement,
waiver or recapture of expenses by Advisor and Administrator
(Note 5)

     1.32% 4       1.30%         1.27%         1.25% 4 

Ratio of expenses to average net assets after any reimbursement,
waiver or recapture of expenses by Advisor and Administrator

     1.25% 4       1.26%         1.26%         1.25% 4 

Ratio of net investment income (loss) to average net assets

     0.53% 4       0.53%         0.70%         1.39% 4 

Portfolio turnover5

     19.85% 3       48.29%         21.70%         37.01% 3 

 

1 Calculated using the average daily shares method.
2 Less than $0.01 per share.
3 Not annualized.
4 Annualized.
5 The portfolio turnover rate is calculated on the Fund as a whole without distinguishing between classes of shares issued.
6 Institutional Class commenced operations on April 30, 2013.

 

See accompanying notes to financial statements.

 

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Table of Contents

Financial Highlights (continued)

Matthews China Small Companies Fund

The table below sets forth financial data for a share of beneficial interest outstanding throughout each period presented.

 

INVESTOR CLASS   

Six-Month
Period Ended
June 30, 2016

(unaudited)

     Year Ended Dec. 31     

Period Ended

Dec. 31, 20111

 
      2015      2014      2013      2012     

Net Asset Value, beginning of period

     $8.79         $9.21         $9.89         $7.76         $7.04         $10.00   

INCOME (LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income (loss)2

     0.07         0.08         0.01         0.02         0.03         (0.02

Net realized gain (loss) and unrealized appreciation/depreciation on investments and foreign currency

     (0.59      0.27         (0.33      2.22         0.68         (2.96

Total from investment operations

     (0.52      0.35         (0.32      2.24         0.71         (2.98

LESS DISTRIBUTIONS FROM:

                 

Net investment income

             (0.06      (0.02      (0.11      (0.02      (0.01

Return of capital

                     (0.34                        

Net realized gains on investments

             (0.72                                

Total distributions

             (0.78      (0.36      (0.11      (0.02      (0.01

Paid-in capital from redemption fees (Note 4)

     3       0.01         3       3       0.03         0.03   

Net Asset Value, end of period

     $8.27         $8.79         $9.21         $9.89         $7.76         $7.04   

TOTAL RETURN

     (5.92% )4       4.07%         (3.33%      28.85%         10.53%         (29.51% )4 

RATIOS/SUPPLEMENTAL DATA

                 

Net assets, end of period (in 000’s)

     $18,431         $21,546         $22,068         $26,674         $10,266         $4,493   

Ratio of expenses to average net assets before any reimbursement, waiver or recapture of expenses by Advisor and Administrator (Note 5)

     2.01% 5       2.10%         1.90%         2.04%         3.26%         5.32% 5 

Ratio of expenses to average net assets after any reimbursement,
waiver or recapture of expenses by Advisor and Administrator

     1.50% 5       1.50%         1.67%         2.00%         2.00%         2.00% 5 

Ratio of net investment income (loss) to average net assets

     1.84% 5       0.80%         0.14%         0.17%         0.40%         (0.53% )5 

Portfolio turnover

     25.82% 4       72.49%         32.42%         10.28%         34.01%         6.08% 4 

 

1 Investor Class commenced operations on May 31, 2011.
2 Calculated using the average daily shares method.
3 Less than $0.01 per share.
4 Not annualized.
5 Annualized.

 

See accompanying notes to financial statements.

 

134    MATTHEWS ASIA FUNDS


Table of Contents

Notes to Financial Statements (unaudited)

 

1. ORGANIZATION

Matthews Asia Funds (the “Trust”) is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). The Trust currently issues eighteen separate series of shares (each a “Fund” and collectively, the “Funds”): Matthews Asia Strategic Income Fund, Matthews Asia Credit Opportunities Fund, Matthews Asian Growth and Income Fund, Matthews Asia Dividend Fund, Matthews China Dividend Fund, Matthews Asia Value Fund, Matthews Asia Focus Fund, Matthews Asia Growth Fund, Matthews Pacific Tiger Fund, Matthews Asia ESG Fund, Matthews Emerging Asia Fund, Matthews Asia Innovators Fund (formerly known as Matthews Asia Science and Technology Fund), Matthews China Fund, Matthews India Fund, Matthews Japan Fund, Matthews Korea Fund, Matthews Asia Small Companies Fund, and Matthews China Small Companies Fund. Each Fund except for Matthews China Small Companies Fund currently offers two classes of shares: Investor Class and Institutional Class. Matthews China Small Companies Fund currently offers only Investor Class shares. Each class of shares has identical voting, dividend, liquidation and other rights and the same terms and conditions, except each class may be subject to different class expenses as outlined in the relevant prospectus and each class has exclusive voting rights with respect to matters solely affecting such class.

 

2. SIGNIFICANT ACCOUNTING POLICIES

The following is a summary of significant accounting policies consistently followed by the Funds in preparation of their financial statements.

 

A. SECURITY VALUATION: The value of the Funds’ securities is based on market quotations for those securities, or on their fair value determined by the valuation policies approved by the Funds’ Board of Trustees (the “Board”). Market quotations and valuation information are provided by commercial pricing services or securities dealers that are independent of the Funds and Matthews International Capital Management, LLC (“Matthews”), in accordance with procedures established by the Funds’ Board. Foreign exchange-traded securities are valued as of the close of trading on the primary exchange on which they trade. Securities that trade in over-the-counter markets, including most debt securities (bonds), may be valued by other third-party vendors or by using indicative bid quotations from dealers or market makers, or other available market information. Market values for securities are determined based on quotations, market data or other information from the principal (or most advantageous) market on which the security is traded. Market quotations for equity securities used by the Funds include last reported sale prices, or, if such prices are not reported or available, bid and ask prices. Financial futures contracts traded on exchanges are valued at their settlement price. Foreign currency exchange contracts are valued at the mean between the bid and ask prices and are determined at the close of business on the New York Stock Exchange (“NYSE”). Interpolated values are derived when the settlement date of the contract is an interim date for which quotations are not available. The Funds may also utilize independent pricing services to assist them in determining a current market value for each security based on sources believed to be reliable.

The Board has delegated the responsibility of making fair value determinations to the Funds’ Valuation Committee (the “Valuation Committee”) subject to the Funds’ pricing policies. When fair value pricing is employed, the prices of securities used by a Fund to calculate its Net Asset Value (“NAV”) may differ from any quoted or published prices for the same securities for that day. All fair value determinations are made subject to the Board’s oversight. Events affecting the value of foreign investments may occur between the time at which they are determined and when the Funds calculate their NAV, which is normally the close of trading on the NYSE. If such events render market quotations unreliable, and the impact of such events can be reasonably determined, the investments will be valued at their fair value in accordance with pricing policies. The fair value of a security held by the Funds may be determined using the services of third-party pricing services to assist in this process.

The books and records of the Funds are maintained in U.S. dollars. Transactions, portfolio securities, and assets and liabilities denominated in a foreign currency are translated and recorded in U.S. dollars at the prevailing exchange rate as of the close of trading on the NYSE. Translation gains or losses resulting from changes in the exchange rate during the reporting period and realized gains and losses on the settlement of foreign currency transactions are reported in the results of operations for the current period. The Funds do not isolate that portion of gains and losses on investments in equity securities that is due to changes in foreign exchange rate from that which is due to changes in market prices of securities.

Foreign securities held by the Funds may be traded on days and at times when the NYSE is closed. Accordingly, the NAV of the Funds may be significantly affected on days when shareholders have no access to the Funds.

 

B. FAIR VALUE MEASUREMENTS: In accordance with the guidance on fair value measurements and disclosures under generally accepted accounting principles in the United States (“U.S. GAAP”), the Funds disclose the fair value of their investments and derivative financial instruments in a hierarchy that prioritizes the inputs to valuation techniques used to measure the fair value. The hierarchy gives the highest priority to valuations based upon unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurement) and the lowest priority to valuations based upon unobservable inputs that are significant to the valuation (Level 3 measurements). Various inputs are used in determining the fair value of investments and derivative financial instruments, which are as follows:

Level 1: Quoted prices in active markets for identical securities.

Level 2: Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

Level 3: Significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments and derivative financial instruments).

Level 3 securities consisted of equities that, as of June 30, 2016, were suspended from trading. As described in Note 2-A, these securities are valued based on their fair value as determined under the direction of the Board. The significant unobservable inputs, the methodology used for valuing such securities, and the characterization of such securities as Level 3 securities are not necessarily an indication of liquidity, or the risk associated with investing in these securities. A significant change in the unobservable inputs could result in a significantly lower or higher value in such Level 3 securities and could impact overall Fund performance. Level 2 equity securities consist primarily of securities that have been fair valued by third-party pricing services (see Note 2-A).

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

The summary of inputs used to determine the fair valuation of the Fund’s investments as of June 30, 2016 is as follows:

 

     Matthews Asia
Strategic
Income Fund
    Matthews Asia
Credit Opportunities
Fund
    Matthews Asian
Growth and
Income Fund
    Matthews Asia
Dividend Fund
    Matthews Asia
Value Fund
    Matthews Asia
Focus Fund
    Matthews Asia
Growth Fund
 
Assets:              
Investments:              

Level 1: Quoted Prices

             

Australia

    $—        $—        $—        $8,621,076        $—        $—        $—   

China/Hong Kong

                  166,447,355        367,476,534        58,927        523,533        45,700,155   

Indonesia

                  55,719,636        106,077,831                        

Israel

                                29,120                 

Malaysia

                  45,731,286                               

Singapore

                                19,472                 

Taiwan

                  99,861,136        200,094,992                        

United States

                  51,178,362               42,720        791,174          

Level 2: Other Significant Observable Inputs

             

Foreign Government Obligationsa

    15,274,873        1,934,091                                      

Non-Convertible Corporate Bondsa

    35,574,783        7,504,271                                      

Convertible Corporate Bondsa

    10,746,914        2,293,065        225,225,530                               

Common Equities:

             

Australia

                  84,503,888        109,467,969               282,998        27,841,101   

Bangladesh

                                              12,679,036   

China/Hong Kong

                  625,392,148        1,040,867,034        451,663        3,393,105        27,812,385   

India

                         118,998,163               346,411        81,297,331   

Indonesia

                  24,841,620        147,021,509               481,545        84,311,888   

Japan

                  239,320,585        1,457,965,767        182,791        362,720        284,330,555   

Luxembourg

                         75,737,977                        

Malaysia

                  142,709,266               56,922        951,709        6,038,837   

New Zealand

                  68,916,114        2,279,286                        

Norway

                  44,188,258                               

Pakistan

                                              7,561,765   

Philippines

                  37,533,918        73,183,811                      36,154,912   

Singapore

                  438,940,259        220,404,874        119,808        1,169,029          

South Korea

                  243,138,223        276,153,041        388,164        1,020,098        7,717,395   

Sri Lanka

                                              19,229,074   

Switzerland

                                38,867        280,557          

Taiwan

                  56,858,807        83,509,660        81,505        398,136        6,212,778   

Thailand

                  47,304,465        109,391,138        17,378        483,542        7,266,624   

United Kingdom

                                35,554                 

Vietnam

                  43,125,752        86,529,408                      13,688,996   

Preferred Equities:

             

South Korea

                  112,109,167        131,951,222        199,055                 

Total Market Value of Investments

    $61,596,570        $11,731,427        $2,853,045,775        $4,615,731,292        $1,721,946        $10,484,557        $667,842,832   

 

a Industry, countries, or security types are disclosed on the Schedule of Investments.

 

          Matthews Asia
Strategic Income
Fund
 

Derivative Financial Instruments1

   

Assets

   

Level 2:

  Other Significant Observable Inputs  
  Foreign Currency Exchange Contracts     $173,128   
   

 

 

 

Total Market Value of Derivative Financial Instruments

    $173,128   

 

1 Derivative financial instruments are foreign currency exchange contracts. Foreign currency exchange contracts are valued at the unrealized appreciation/depreciation on the instrument.

 

136    MATTHEWS ASIA FUNDS


Table of Contents
     Matthews China
Dividend Fund
   

Matthews

China Fund

   

Matthews

India Fund

    Matthews
Japan Fund
    Matthews
Korea Fund
   

Matthews

China Small
Companies

Fund

 
Assets:            
Investments:            

Level 1: Quoted Prices

           

Common Equities:

           

Consumer Discretionary

    $9,648,826        $36,068,015        $7,957,908        $—        $—        $1,129,486   

Financials

                  13,729,275                        

Health Care

                  73,178,560                      659,184   

Industrials

    341,424                                    1,128,205   

Information Technology

    6,822,977        56,194,998        69,500,808                        

Telecommunication Services

    5,461,707                             6,576,224          

Level 2: Other Significant Observable Inputs

           

Common Equities:

           

Consumer Discretionary

    24,351,533        20,222,840        101,397,447        649,431,516        31,268,362        4,284,332   

Consumer Staples

    14,754,286        11,160,356        326,540,094        581,438,322        21,570,544        443,877   

Energy

    1,759,467        27,855,766                      3,547,281          

Financials

    31,060,035        206,607,322        406,931,069        477,848,979        26,025,046        2,090,220   

Health Care

    7,204,802        13,135,084        143,301,430        405,348,652        8,693,557        1,789,612   

Industrials

    24,533,011        52,764,367        150,472,317        731,784,408        5,176,430        4,226,303   

Information Technology

    8,410,414        85,943,065        178,308,073        350,295,976        18,855,973        1,522,619   

Materials

    7,264,177        13,012,883        71,723,065        50,705,492        4,873,772          

Telecommunication Services

    9,808,786        27,683,900                               

Utilities

    3,298,974        10,536,062                               

Rights:

           

Consumer Discretionary

    1,135                                      

Preferred Equities:

           

Consumer Discretionary

                                3,499,209          

Consumer Staples

                                15,476,526          

Energy

                                2,260,043          

Financials

                                5,528,179          

Information Technology

                                10,731,683          

Materials

                                4,448,246          

Level 3: Significant Unobservable Inputs

           

Common Equities:

           

Consumer Discretionary

           11,542,467                               

Information Technology

                                       251   

Total Market Value of Investments

    $154,721,554        $572,727,125        $1,543,040,046        $3,246,853,345        $168,531,075        $17,274,089   

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

     

Matthews Pacific

Tiger Fund

      

Matthews
Asia ESG

Fund

       Matthews
Emerging Asia
Fund
      

Matthews Asia
Innovators

Fund*

      

Matthews

Asia Small

Companies

Fund

 
Assets:                       
Investments:                       

Level 1: Quoted Prices

                      

Common Equities:

                      

Bangladesh

     $—           $81,377           $5,355,657           $—           $—   

China/Hong Kong

     524,831,253           203,808                     22,649,319           31,099,388   

India

               85,134           626,915                       

Indonesia

     22,375,742                     2,572,985           2,452,254           25,598,164   

Japan

               108,323                                 

Malaysia

     96,902,551                                           

Pakistan

               114,773           3,246,059                       

Philippines

                                             8,183,629   

Sri Lanka

               157,380           310,244                       

Thailand

                                             6,363,073   

United States

     83,433,024                               2,661,660             

Vietnam

                         16,970,785                     4,599,072   

Warrants:

                      

Malaysia

     4,680,880                                           

Level 2: Other Significant Observable Inputs

                      

Common Equities:

                      

Australia

               61,656           1,265,736                       

Bangladesh

               70,751           16,211,526                       

China/Hong Kong

     1,491,754,224           1,440,332           8,615,956           20,952,257           114,005,067   

India

     1,394,825,830           1,201,443           14,840,930           13,601,259           72,845,393   

Indonesia

     446,762,735           226,855           10,461,226           10,118,882           7,658,061   

Japan

               665,562                                 

Luxembourg

               175,639                                 

Malaysia

     169,252,729                                         22,978,645   

Pakistan

               161,331           24,726,571                       

Philippines

     216,018,353           405,749           6,255,466           2,047,566           10,633,839   

Singapore

     15,765,687           416,508           2,304,353           8,233,292           35,487,868   

South Korea

     1,048,318,333           661,237                     21,182,090           73,148,435   

Sri Lanka

                         10,791,276                       

Switzerland

     179,364,422                                           

Taiwan

     426,898,918           1,112,336                     13,746,751           79,914,600   

Thailand

     392,184,747           231,188           1,713,439           5,181,022           29,798,059   

Vietnam

     176,210,878                     14,324,092           2074606             

Rights:

                      

Taiwan

                                   12,921             

Preferred Equities:

                      

South Korea

                                   15,293,436             

Level 3: Significant Unobservable Inputs

                      

Common Equities:

                      

China/Hong Kong

     4,674,302                                           

Pakistan

                         272,577                       

Total Market Value of Investments

     $6,694,254,608           $7,581,382           $140,865,793           $140,207,315           $522,313,293   

 

* The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

 

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Foreign securities that are valued based on market quotations are categorized as Level 1 in the fair value hierarchy (see Note 2-B). Certain foreign securities may be fair valued by external pricing services when the Funds determine that events affecting the value of foreign securities which occur between the time at which they are determined and the close of trading on the NYSE render market quotations unreliable. Such fair valuations are typically categorized as Level 2 in the fair value hierarchy. The Funds’ policy is to recognize transfers in and transfers out as of the beginning of the reporting period. At June 30, 2016, the Funds utilized third party pricing services to fair value certain securities, some of which were different than the securities which had been valued by third party pricing services at December 31, 2015. As a result, certain securities held by the Funds were transferred from Level 2 into Level 1 and certain securities held by the Funds were transferred from Level 1 to Level 2 with beginning of period values as follows:

 

      Transfer to Level 1
from Level 2
       Transfer to Level 2
from Level 1
 
Matthews Asia Growth and Income Fund      $47,042,983           $—   
Matthews Asia Dividend Fund      118,275,877           32,808,738   
Matthews China Dividend Fund      3,933,589             
Matthews Asia Value Fund                40,811   
Matthews Asia Growth Fund                43,943,254   
Matthews Pacific Tiger Fund      17,119,436             
Matthews Asia ESG Fund      154,619           261,575   
Matthews Emerging Asia Fund      6,628,747           27,231,051   
Matthews India Fund                37,587,012   
Matthews Asia Small Companies Fund      19,601,445           25,959,102   
Matthews China Small Companies Fund      584,078           488,609   

A reconciliation of Level 3 investments for which significant unobservable inputs were used to determine value are as follows:

 

     Matthews Pacific
Tiger Fund
   

Matthews

Emerging Asia

Fund

   

Matthews

China Fund

   

Matthews

China Small

Companies
Fund

 
   

Common

Equities —

China/Hong Kong

   

Common

Equities —
Pakistan

   

Common

Equities —
Financials

   

Common

Equities —
Information

Technology

 
Balance as of 12/31/15 (market value)     $82,848,600        $—        $20,510,781        $7,548   
Accrued discounts/premiums                            
Realized gain/(loss)                   4,977,110          
Change in unrealized (depreciation)     1,115        25,377        (1,560,469     (7,297
Purchases     4,673,187        247,200                 
Sales                   (25,487,891       
Transfers in to Level 3*                   13,102,936          
Transfers out of Level 3*     (82,848,600                     
Balance as of 6/30/16 (market value)     $4,674,302        $272,577        $11,542,467        $251   
Net change in unrealized appreciation/depreciation on Level 3 investments held as of 6/30/16**     $1,115        $25,377        ($1,560,469     ($7,297

 

* The Fund’s policy is to recognize transfers in and transfers out as of the beginning of the reporting period.
** Included in the related amounts on the Statements of Operations.

Certain foreign securities, for which market quotations are not readily available, may be fair valued and classified as either Level 2 or Level 3. When the underlying inputs include significant observable inputs obtained from sources independent of the Funds, the securities are classified as Level 2. These inputs include evaluated prices from the Funds’ pricing vendors, day-on-day price changes, primary and ancillary pricing sources, and other available independent market indicators of value. When the underlying inputs include significant unobservable inputs and reflect assumptions of market participants, the securities are classified as Level 3. As of June 30, 2016, the Funds that previously used quoted prices or observable inputs now also utilize significant unobservable inputs for certain securities that were suspended from trading. As a result, certain securities held by the Funds that were previously classified as Level 1 or Level 2 was transferred to Level 3. Certain securities held by the Funds that were suspended from trading and classified as Level 3 on December 31, 2015 subsequently resumed trading and were transferred from Level 3 to Level 1, Level 2 or were sold.

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

The following table summarizes the valuation techniques used and unobservable inputs developed by the Valuation Committee to determine the fair value of certain, material Level 3 investments:

 

      Value        Valuation
Technique
     Unobservable
Input1
     Range of
Unobservable
Inputs
 
Matthews China Fund Assets:                  

Common Equity

     $11,542,467         Last Price2 Multiplied by Proxy factor3      Proxy factor3        Less than 10%   

 

1 Increase in unobservable input may result in a significant increase to value, while a decrease in unobservable input may result in a significant decrease to value.
2 Last Price could include closing price, last reported sales price, or last fair valued price as described in Note 2-A.
3 Proxy factor considers movement of the Shenzhen Stock Exchange Composite Index.

 

C. BASIS OF CONSOLIDATION: The accompanying consolidated financial statements of Matthews China Fund and Matthews Asia Dividend Fund (the “Investing Funds”) includes the accounts of the Matthews CF-U Series and Matthews ADF-U Series (the “U Series Funds”), respectively. The U Series Funds are series of Matthews A Share Selections Fund, LLC, a Delaware limited liability company registered under the 1940 Act. All of the interests offered by U Series Funds are exclusively owned by the Investing Funds. The U Series Funds primarily invest in the stocks of Chinese companies listed on Mainland China Stock Exchanges, and traded and denominated in the currency of China, the Renminbi. To allow U Series Funds to invest in China A Shares Matthews has applied for and received a license from the China Securities Regulatory Commission as a Qualified Foreign Institutional Investor (“QFII”) and has been allocated by the State Administration of Foreign Exchange of China an initial quota of $100 million in June 2014, and an additional quota of $440 million in July 2015, representing the equivalent value in Renminbi of China A Shares that the Funds may purchase. Access to the quota will be subject to Matthews’ trade allocation procedures and access allocation procedures. The U Series Funds are subject to the same investment policies and restrictions that apply to Investing Funds. The net assets of Matthews CF-U Series and Matthews ADF-U Series at June 30, 2016, were $37,757,678 and $62,419,401, respectively. Intercompany accounts and transactions, if any, have been eliminated in the consolidation process. The U Series Funds are intended to be disregarded entities for the tax purposes. Therefore, no federal tax provision is required. Consolidated financial statements include expenses that are accrued for and paid by the Investing Funds. These include on-going operational costs as well as costs in connection with the launching of the U Series Funds (see offering cost, note 2-E).

As of April 2015, certain Funds began investing in China A Shares via the Shanghai-Hong Kong Stock Connect, a securities trading and clearing linked program developed by the Hong Kong Exchanges and Clearing Limited, Shanghai Stock Exchange and China Securities Depository and Clearing Corporation Limited, with an aim to achieve mutual stock market access between mainland China and Hong Kong.

 

D. RISKS ASSOCIATED WITH NON-U.S. COMPANIES: Investments by the Funds in the securities of non-U.S. companies may involve investment risks not typically associated with investments in U.S. issuers. These risks include possible political, economic, social and religious instability, inadequate investor protection; changes in laws or regulations of countries within the Asia Pacific region (including both in countries where you invest, as well as in the broader region); international relations with other nations; natural disasters; corruption; and military activity. Foreign securities may be subject to greater fluctuations in price than securities of domestic corporations or the U.S. government. Foreign investing may also include the risk of expropriation or confiscatory taxation, limitation on the removal of funds or other assets, currency crises and exchange controls, the imposition of foreign withholding tax on the interest income payable on such instruments, the possible seizure or nationalization of foreign deposits or assets, or the adoption of other foreign government restrictions that might adversely affect the foreign securities held by the Funds. Additionally, Asia Pacific countries may utilize formal or informal currency exchange controls or “capital controls” that may limit the ability to repatriate investments or income or adversely affect the value of portfolio investments. The economies of many Asia Pacific countries differ from the economies of more developed countries in many respects, such as their rate of growth, inflation, capital reinvestment, resource self-sufficiency and dependence on other economies, financial system stability, the national balance of payments position and sensitivity to changes in global trade. Certain Asia Pacific countries are highly dependent upon and may be affected by developments in the economies of other countries. Non-U.S. companies are subject to different accounting, auditing, and financial reporting standards, practices, and requirements than U.S. companies. There is generally less government regulation of stock exchanges, brokers, and listed companies abroad than in the United States, which may result in less transparency with respect to a company’s operations, and make obtaining information about them more difficult (or such information may be unavailable).

Foreign stock markets may not be as developed or efficient as those in the United States, and the absence of negotiated brokerage commissions in certain countries may result in higher brokerage fees. The time between the trade and settlement dates of securities transactions on foreign exchanges ranges from one day to four weeks or longer and may result in higher custody charges. Custodial arrangements may be less well developed than in the United States. Foreign securities are generally denominated and pay distributions in foreign currencies, exposing the Funds to changes in foreign currency exchange rates. Investing in any country in the Asia Pacific region will also entail risks specific and unique to that country, and these risks can be significant and change rapidly.

Changes in interest rates in each of the countries in which the Funds may invest, as well as interest rates in more-developed countries, may cause a decline in the market value of an investment. Generally, fixed income securities will decrease in value when interest rates rise and can be expected to rise in value when interest rates decline. As interest rates decline, debt issuers may repay or refinance their loans or obligations earlier than anticipated. The issuers of fixed income securities may, therefore, repay principal in advance. This would force the Funds to reinvest the proceeds from the principal prepayments at lower rates, which reduces the Funds’ income.

In February 2016, the State Administration of Foreign Exchange (“SAFE”) of China announced that all open-ended funds, such as the Matthews A Share Selections Fund, LLC, may repatriate any investment quota (including the proceeds of such investment quota) on a daily basis. Previously, repatriation by a QFII was limited to first a monthly, then a weekly, basis. As a result of this restriction, the Company sought and has been granted by the U.S. Securities and Exchange Commission an exemption (the “Exemptive Order”) from the provisions of Section 22(e) of the 1940 Act and Rule 22c-1 thereunder to the extent necessary to permit the Company to operate as an “extended payment fund.” As extended payment funds, the U Series Funds (see Note 2-C) will only redeem Interests on a periodic basis, which, pursuant to the Exemptive Order, shall be no less frequent than on one day each month.

 

E. OFFERING COSTS: Offering costs are amortized on a straight-line basis over one year from each Fund’s respective commencement of operations. In the event that any of the initial shares are redeemed during the period of amortization of the Fund’s offering costs, the redemption proceeds will be reduced by any such unamortized offering costs in the same proportion as the number of shares being redeemed bears to the number of those shares outstanding at the time of redemption.

 

140    MATTHEWS ASIA FUNDS


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F. DISTRIBUTIONS TO SHAREHOLDERS: It is the policy of Matthews Asian Growth and Income Fund and Matthews China Dividend Fund to distribute net investment income on a semi-annual basis and capital gains, if any, annually. It is the policy of Matthews Asia Dividend Fund, Matthews Asia Strategic Income Fund and Matthews Asia Credit Opportunities Fund to distribute net investment income on a quarterly basis and capital gains, if any, annually. Each of the other Funds distributes a net investment income and capital gains, if any, annually. Distributions to shareholders are recorded on the ex-dividend date. Income and capital gain distributions are determined in accordance with income tax regulations which may differ from U.S. GAAP.

The tax character of distributions paid for the fiscal year ended December 31, 2015 was as follows:

 

YEAR ENDED DECEMBER 31, 2015   

Ordinary

Income

       Net Long-Term
Capital Gains
       Total Taxable
Distributions
 
Matthews Asia Strategic Income Fund      $1,925,044           $—           $1,925,044   
Matthews Asian Growth and Income Fund      89,571,608           134,712,377           224,283,985   
Matthews Asia Dividend Fund      93,118,771           71,669,071           164,787,842   
Matthews China Dividend Fund      4,110,069           7,709,592           11,819,661   
Matthews Asia Value Fund      2,329                     2,329   
Matthews Asia Focus Fund      112,053           61,165           173,218   
Matthews Pacific Tiger Fund      131,749,094           685,544,217           817,293,311   
Matthews Asia ESG Fund      37,405                     37,405   
Matthews Emerging Asia Fund      81,591           432,972           514,563   
Matthews Asia Innovators Fund*                25,836,171           25,836,171   
Matthews China Fund      10,545,675           127,726,027           138,271,702   
Matthews India Fund      1,967,432           13,471,979           15,439,411   
Matthews Korea Fund      956,216           12,118,013           13,074,229   
Matthews Asia Small Companies Fund      1,500,557                     1,500,557   
Matthews China Small Companies Fund      162,446           1,862,709           2,025,155   

 

* The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

 

G. INVESTMENT TRANSACTIONS AND INCOME: Securities transactions are accounted for on the date the securities are purchased or sold or on the following business day. Gains or losses on the sale of securities are determined on the identified cost basis. Interest income is recorded on the accrual basis. Dividend income is generally recorded on the ex-dividend date. Dividend income for certain issuers headquartered in countries which the Funds invest may not be recorded until approved by the shareholders (which may occur after the ex-dividend date) if, in the judgment of management, such dividends are not reasonably determined as of the ex-dividend date. Income and realized and unrealized gains or losses on investments are allocated to each class of shares based on its relative net assets. Interest income, including amortization and accretion of premiums and discounts on debt securities, is recognized daily on an accrual basis. For convertible securities, premiums attributable to the conversion feature are not amortized.

The Funds may be subject to foreign taxation related to income received, capital gains on the sale of securities and certain foreign currency transactions in the foreign jurisdictions in which they invest. Foreign taxes, if any, are recorded based on the tax regulations and rates that exist in the foreign markets in which the Funds invest. When a capital gain tax is determined to apply, the Funds record an estimated deferred tax liability in an amount that may be payable if the securities were disposed of on the valuation date.

 

H. FUND EXPENSE ALLOCATIONS: The Funds account separately for the assets, liabilities and operations of each Fund. Direct expenses of each Fund or class are charged to that Fund or class while general expenses are allocated pro-rata among the Funds based on net assets or other appropriate methods.

 

I. CASH, CASH OVERDRAFTS, AND FOREIGN CURRENCY: The U Series Funds are required by the local market to maintain a cash reserve. The cash reserve is based upon a fixed ratio of the QFII’s approved investment quota, which is defined as the amount remitted into its special renminbi (RMB) cash account. The fixed ratio is set at 0.08 percent for the Shanghai and 0.06 percent for the Shenzhen market. When any of the Funds’ cash balances are overdrawn, a Fund is charged an overdraft fee by the custodian of 1.00% above the 30-day LIBOR rate on outstanding balances. These amounts, if any, are included in “Other expenses” on the Statements of Operations.

 

J. USE OF ESTIMATES: The preparation of financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results may differ from those estimates.

 

3. DERIVATIVE FINANCIAL INSTRUMENTS

Each of the Matthews Asia Strategic Income Fund and the Matthews Asia Credit Opportunities Fund engages in derivative transactions for a variety of purposes, including managing interest rate, currency and credit exposure. In particular, each Fund may seek to take on currency exposure by using derivatives such as currency forwards, and the Matthews Asia Strategic Income Fund may also employ a currency overlay strategy in an effort to enhance returns and moderate volatility. Derivative financial instruments and transactions in which each Fund may engage include financial futures contracts and/or forward foreign currency exchange contracts. The currency overlay strategy involves long and short positions on one or more currencies. As a result, each Fund’s exposure to a currency could exceed the value of the Fund’s assets and the Fund could be exposed to currency risk whether or not it holds a bond or other instrument denominated in that currency. The gross notional value of derivative financial instruments and transactions could exceed the value of the Fund’s net assets, although the net market value of these instruments and transactions, on a marked-to-market basis, at most times, is expected to be substantially lower. The primary risks associated with the use of derivative financial instruments are: (i) Matthews may not correctly predict the direction of currency exchange rates, interest rates, security prices, or other economic factors; (ii) Matthews may not correctly predict changes in the value of derivative financial instruments and related underlying instruments or assets, which may result in disproportionately increased losses and/or reduced opportunities for gains; (iii) imperfect correlation between the change in market value of the securities held by a Fund and the price of financial futures contracts; (iv) the lack of, or a reduction in the liquidity of, any secondary market for the instrument, and the resulting inability to close the position (or exit the position) when desired; (v) losses, which are potentially unlimited, due to unanticipated market movements; (vi) the value of the instrument may change unfavorably due to movements in the value of the referenced foreign currencies; (vii) a Fund may suffer disproportionately heavy losses relative to the amount invested; (viii) changes in the value of the derivatives may not match or fully offset changes in the value of hedged or related portfolio securities, thereby failing to achieve the hedging or investment purpose for the derivative transaction; and (ix) the other party to the instrument may fail to fulfill its obligation.

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Financial Futures Contracts: Financial futures contracts are agreements between the Fund and a counterparty to buy or sell a specific quantity of an underlying instrument at a specified price and at a specified date. Depending on the terms of the particular contract, futures contracts are settled either through physical delivery of the underlying instrument on the settlement date or by payment of a cash settlement amount on settlement date. Pursuant to the contract, the Fund agrees to receive from or pay an amount of cash equal to the daily fluctuation in value of the contract. Such receipts or payments are known as variation margin and are recorded by the Fund as unrealized appreciation or depreciation. When the contract is closed, the Fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed.

Forward Foreign Currency Exchange Contracts: A forward foreign currency exchange contract is an agreement between two parties to buy and sell a currency at a set exchange rate on a future date. The contract is marked-to-market daily and the change in market value is recorded by the Fund as an unrealized gain or loss. When the contract is closed, the Fund records a realized gain or loss equal to the difference between the value at the time it was opened and the value at the time it was closed. The Matthews Asia Strategic Income Fund does not offset financial assets and financial liabilities on forward foreign currency contacts in the statement of assets and liabilities as they are not subject to netting arrangements.

Derivative Financial Instruments Categorized by Risk Exposure:

As of June 30, 2016, the fair values of derivative financial instruments were as follows:

 

     Statement of Assets and Liabilities Location   Matthews Asia
Strategic Income
Fund
 
  Asset Derivatives  
Forward foreign currency exchange contracts   Unrealized appreciation on forward foreign currency exchange contracts     $173,128   
   

 

 

 
Total       $173,128   
   

 

 

 

For the period ended June 30, 2016, the effects of derivative financial instruments on the Statements of Operations were as follows:

 

Derivative type   Statement of Operations Location   Matthews Asia
Strategic Income
Fund
 

Net Realized Gain (Loss)

   
Foreign currency contracts:    

Foreign currency exchange contracts

  Net realized gain (loss) on foreign currency related transactions     ($80,924
   

 

 

 

Net Change in Unrealized Appreciation (Depreciation)

   
Foreign currency contracts:    

Foreign currency exchange contracts

  Net change in unrealized appreciation/depreciation on foreign currency related translations     ($123,446
   

 

 

 

Notional amounts disclosed on the Matthews Asia Strategic Income Fund’s Schedule of Investments are indicative of the activity during the period which forward foreign currency contracts were held, January 1, 2016 - June 30, 2016.

 

4. CAPITAL SHARE TRANSACTIONS

Each Fund is authorized to issue an unlimited number of shares of beneficial interest with a par value of $0.001 per share.

 

     Six-Month Period Ended
June 30, 2016 (Unaudited)
    

Year Ended December 31, 2015

 
      Shares      Amount      Shares      Amount  

MATTHEWS ASIA STRATEGIC INCOME FUND

           

Investor Class

           

Shares sold

     598,248         $6,033,492         1,323,678         $13,608,885   

Shares issued through reinvestment of distributions

     82,540         844,847         156,283         1,568,876   

Shares redeemed

     (770,348      (7,852,427      (2,031,972      (20,725,933

Net increase (decrease)

     (89,560      ($974,088      (552,011      ($5,548,172

Institutional Class

           

Shares sold

     35,582         $357,384         514,725         $5,309,238   

Shares issued through reinvestment of distributions

     18,555         189,715         34,909         350,189   

Shares redeemed

     (99,158      (1,008,812      (205,825      (2,100,037

Net increase (decrease)

     (45,021      ($461,713      343,809         $3,559,390   

MATTHEWS ASIA CREDIT OPPORTUNITIES FUND*

           

Investor Class

           

Shares sold

     764,269         $7,638,284         

Shares issued through reinvestment of distributions

     4,100         41,038         

Shares redeemed

     (395      (3,956                  

Net increase (decrease)

     767,974         $7,675,366                     

Institutional Class

           

Shares sold

     501,000         $5,010,000         

Shares issued through reinvestment of distributions

     3,013         30,130         

Shares redeemed

                                 

Net increase (decrease)

     504,013         $5,040,130                     

*InvestorClass and Institutional Class commencement of operations on April 29, 2016.

  

     

 

142    MATTHEWS ASIA FUNDS


Table of Contents
     Six-Month Period Ended
June 30, 2016 (Unaudited)
    

Year Ended December 31, 2015

 
      Shares      Amount      Shares      Amount  

MATTHEWS ASIAN GROWTH AND INCOME FUND

           

Investor Class

           

Shares sold

     11,916,369         $190,539,226         25,916,582         $466,448,198   

Shares issued through reinvestment of distributions

     984,249         16,495,895         9,143,700         150,474,022   

Shares redeemed

     (20,789,848      (333,025,151      (76,976,258      (1,349,111,339

Net increase (decrease)

     (7,889,230      ($125,990,030      (41,915,976      ($732,189,119

Institutional Class

           

Shares sold

     11,283,997         $180,805,808         11,883,290         $212,136,578   

Shares issued through reinvestment of distributions

     532,869         8,920,235         3,858,797         63,544,851   

Shares redeemed

     (7,371,674      (119,233,104      (30,034,472      (523,307,730

Net increase (decrease)

     4,445,192         $70,492,939         (14,292,385      ($247,626,301

MATTHEWS ASIA DIVIDEND FUND

           

Investor Class

           

Shares sold

     12,033,434         $184,268,777         35,125,000         $570,435,753   

Shares issued through reinvestment of distributions

     1,882,815         29,931,575         5,242,086         83,243,373   

Shares redeemed

     (25,895,865      (389,185,020      (51,950,453      (827,708,599

Net increase (decrease)

     (11,979,616      ($174,984,668      (11,583,367      ($174,029,473

Institutional Class

           

Shares sold

     12,900,307         $195,740,274         52,931,529         $860,637,014   

Shares issued through reinvestment of distributions

     1,024,429         16,277,516         2,615,057         41,384,032   

Shares redeemed

     (23,123,019      (352,626,436      (60,382,643      (945,927,066

Net increase (decrease)

     (9,198,283      ($140,608,646      (4,836,057      ($43,906,020

MATTHEWS CHINA DIVIDEND FUND

           

Investor Class

           

Shares sold

     1,343,010         $17,472,513         9,804,629         $151,536,779   

Shares issued through reinvestment of distributions

     164,081         2,152,731         724,059         10,466,697   

Shares redeemed

     (2,748,462      (35,354,826      (7,269,925      (106,195,533

Net increase (decrease)

     (1,241,371      ($15,729,582      3,258,763         $55,807,943   

Institutional Class

           

Shares sold

     1,294,998         $17,444,024         1,122,001         $16,210,502   

Shares issued through reinvestment of distributions

     23,578         309,349         78,571         1,153,826   

Shares redeemed

     (990,753      (12,209,556      (2,376,571      (35,363,363

Net increase (decrease)

     327,823         $5,543,817         (1,175,999      ($17,999,035

MATTHEWS ASIA VALUE FUND*

           

Investor Class

           

Shares sold

     48,029         $466,791         161,193         $1,602,501   

Shares issued through reinvestment of distributions

                     179         1,748   

Shares redeemed

     (25,061      (246,207      (34      (333

Net increase (decrease)

     22,968         $220,584         161,338         $1,603,916   

Institutional Class

           

Shares sold

             $—         14,500         $145,000   

Shares issued through reinvestment of distributions

                     60         581   

Shares redeemed

                               

Net increase (decrease)

             $—         14,560         $145,581   

MATTHEWS ASIA FOCUS FUND

           

Investor Class

           

Shares sold

     19,122         $173,245         250,574         $2,466,477   

Shares issued through reinvestment of distributions

                     8,502         74,221   

Shares redeemed

     (115,160      (1,041,587      (411,977      (3,802,344

Net increase (decrease)

     (96,038      ($868,342      (152,901      ($1,261,646

Institutional Class

           

Shares sold

     3,584         $30,000         85,035         $790,900   

Shares issued through reinvestment of distributions

                     11,279         98,578   

Shares redeemed

     (24,472      (210,584      (152,717      (1,345,220

Net increase (decrease)

     (20,888      ($180,584      (56,403      ($455,742

*InvestorClass and Institutional Class commencement of operations on November 30, 2015.

  

     

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

     Six-Month Period Ended
June 30, 2016 (Unaudited)
    

Year Ended December 31, 2015

 
      Shares      Amount      Shares      Amount  

MATTHEWS ASIA GROWTH FUND

           

Investor Class

           

Shares sold

     1,228,006         $25,268,032         10,116,539         $220,731,758   

Shares issued through reinvestment of distributions

                               

Shares redeemed

     (4,425,555      (90,876,866      (11,770,308      (246,526,119

Net increase (decrease)

     (3,197,549      ($65,608,834      (1,653,769      ($25,794,361

Institutional Class

           

Shares sold

     1,651,134         $34,238,620         5,203,260         $112,251,892   

Shares issued through reinvestment of distributions

                               

Shares redeemed

     (4,081,342      (82,690,730      (6,990,514      (146,485,176

Net increase (decrease)

     (2,430,208      ($48,452,110      (1,787,254      ($34,233,284

MATTHEWS PACIFIC TIGER FUND

           

Investor Class

           

Shares sold

     7,052,018         $161,597,333         18,629,799         $505,974,505   

Shares issued through reinvestment of distributions

                     11,411,932         263,383,421   

Shares redeemed

     (14,871,794      (339,669,343      (29,132,577      (758,670,355

Net increase (decrease)

     (7,819,776      ($178,072,010      909,154         $10,687,571   

Institutional Class

           

Shares sold

     34,167,107         $787,598,185         66,516,041         $1,778,275,629   

Shares issued through reinvestment of distributions

                     11,636,136         268,329,315   

Shares redeemed

     (25,256,277      (575,401,969      (99,756,044      (2,521,022,303

Net increase (decrease)

     8,910,830         $212,196,216         (21,603,867      ($474,417,359

MATTHEWS ASIA ESG FUND*

           

Investor Class

           

Shares sold

     322,209         $2,779,145         482,804         $4,562,170   

Shares issued through reinvestment of distributions

                     1,806         16,466   

Shares redeemed

     (57,871      (494,942      (132,628      (1,222,043

Net increase (decrease)

     264,338         $2,284,203         351,982         $3,356,593   

Institutional Class

           

Shares sold

     140,373         $1,209,925         186,254         $1,805,130   

Shares issued through reinvestment of distributions

                     2,307         20,899   

Shares redeemed

                     (4,586      (41,516

Net increase (decrease)

     140,373         $1,209,925         183,975         $1,784,513   

MATTHEWS EMERGING ASIA FUND

           

Investor Class

           

Shares sold

     777,284         $8,926,203         3,222,545         $37,424,394   

Shares issued through reinvestment of distributions

                     29,906         334,053   

Shares redeemed

     (5,051,817      (55,056,945      (2,594,387      (29,676,907

Net increase (decrease)

     (4,274,533      ($46,130,742      658,064         $8,081,540   

Institutional Class

           

Shares sold

     2,100,266         $24,061,120         4,382,373         $50,726,364   

Shares issued through reinvestment of distributions

                     16,011         179,162   

Shares redeemed

     (765,227      (8,626,169      (1,342,327      (15,050,048

Net increase (decrease)

     1,335,039         $15,434,951         3,056,057         $35,855,478   

MATTHEWS ASIA INNOVATORS FUND**

           

Investor Class

           

Shares sold

     267,853         $3,054,781         2,583,487         $36,194,231   

Shares issued through reinvestment of distributions

                     1,321,498         16,095,853   

Shares redeemed

     (1,646,579      (18,583,902      (2,600,415      (35,098,196

Net increase (decrease)

     (1,378,726      ($15,529,121      1,304,570         $17,191,888   

Institutional Class

           

Shares sold

     271,585         $2,991,721         248,176         $3,444,526   

Shares issued through reinvestment of distributions

                     320,936         3,915,412   

Shares redeemed

     (5,554      (64,763      (2,079,401      (31,121,491

Net increase (decrease)

     266,031         $2,926,958         (1,510,289      ($23,761,553

 

* Investor Class and Institutional Class commencement of operations on April 30, 2015.
** The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

 

144    MATTHEWS ASIA FUNDS


Table of Contents
     Six-Month Period Ended
June 30, 2016 (Unaudited)
    

Year Ended December 31, 2015

 
      Shares      Amount      Shares      Amount  

MATTHEWS CHINA FUND

           

Investor Class

           

Shares sold

     1,177,583         $18,702,208         5,141,080         $120,488,105   

Shares issued through reinvestment of distributions

                     6,355,104         116,616,158   

Shares redeemed

     (5,533,607      (87,981,059      (17,118,626      (385,888,737

Net increase (decrease)

     (4,356,024      ($69,278,851      (5,622,442      ($148,784,474

Institutional Class

           

Shares sold

     494,139         $7,689,004         628,563         $14,774,529   

Shares issued through reinvestment of distributions

                     234,182         4,290,241   

Shares redeemed

     (197,544      (3,161,572      (1,990,574      (45,026,079

Net increase (decrease)

     296,595         $4,527,432         (1,127,829      ($25,961,309

MATTHEWS INDIA FUND

           

Investor Class

           

Shares sold

     4,744,427         $119,530,074         30,620,097         $867,318,320   

Shares issued through reinvestment of distributions

                     408,995         10,507,217   

Shares redeemed

     (7,628,090      (191,390,982      (24,282,755      (667,371,469

Net increase (decrease)

     (2,883,663      ($71,860,908      6,746,337         $210,454,068   

Institutional Class

           

Shares sold

     6,010,885         $151,883,874         9,976,872         $279,880,654   

Shares issued through reinvestment of distributions

                     23,353         601,584   

Shares redeemed

     (874,212      (22,248,316      (768,413      (21,157,535

Net increase (decrease)

     5,136,673         $129,635,558         9,231,812         $259,324,703   

MATTHEWS JAPAN FUND

           

Investor Class

           

Shares sold

     61,140,805         $1,114,544,977         53,437,657         $989,896,404   

Shares issued through reinvestment of distributions

                               

Shares redeemed

     (24,192,395      (452,860,577      (13,073,985      (233,136,140

Net increase (decrease)

     36,948,410         $661,684,400         40,363,672         $756,760,264   

Institutional Class

           

Shares sold

     31,154,048         $576,400,554         25,203,856         $462,758,856   

Shares issued through reinvestment of distributions

                               

Shares redeemed

     (4,168,110      (75,516,652      (2,491,900      (44,833,156

Net increase (decrease)

     26,985,938         $500,883,902         22,711,956         $417,925,700   

MATTHEWS KOREA FUND

           

Investor Class

           

Shares sold

     1,405,840         $8,350,668         7,063,187         $45,732,771   

Shares issued through reinvestment of distributions

                     1,247,048         7,432,409   

Shares redeemed

     (3,633,546      (21,489,637      (6,893,554      (42,613,047

Net increase (decrease)

     (2,227,706      ($13,138,969      1,416,681         $10,552,133   

Institutional Class

           

Shares sold

     3,014,795         $18,078,017         1,949,647         $12,656,326   

Shares issued through reinvestment of distributions

                     33,764         202,244   

Shares redeemed

     (7,815,125      (47,049,054      (8,378,869      (48,454,588

Net increase (decrease)

     (4,800,330      ($28,971,037      (6,395,458      ($35,596,018

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

     Six-Month Period Ended
June 30, 2016 (Unaudited)
    

Year Ended December 31, 2015

 
      Shares      Amount      Shares      Amount  

MATTHEWS ASIA SMALL COMPANIES FUND

           

Investor Class

           

Shares sold

     935,049         $17,345,828         8,497,848         $182,977,362   

Shares issued through reinvestment of distributions

                     23,288         441,546   

Shares redeemed

     (3,349,941      (62,505,240      (16,455,313      (348,268,552

Net increase (decrease)

     (2,414,892      ($45,159,412      (7,934,177      ($164,849,644

Institutional Class

           

Shares sold

     985,348         $17,948,951         11,287,130         $246,873,661   

Shares issued through reinvestment of distributions

                     47,417         898,076   

Shares redeemed

     (1,991,074      (36,158,710      (3,476,347      (67,815,813

Net increase (decrease)

     (1,005,726      ($18,209,759      7,858,200         $179,955,924   

MATTHEWS CHINA SMALL COMPANIES FUND

           

Investor Class

           

Shares sold

     155,325         $1,245,759         766,278         $7,633,873   

Shares issued through reinvestment of distributions

                     202,804         1,752,230   

Shares redeemed

     (378,020      (3,098,500      (911,884      (8,642,334

Net increase (decrease)

     (222,695      ($1,852,741      57,198         $743,769   

Currently, a 2.00% redemption fee will be assessed on the sale or exchange of shares of the Matthews Emerging Asia Fund, Matthews Asia Small Companies Fund and Matthews China Small Companies Fund (collectively, the “Covered Funds”) within 90 days after the date an investor purchases shares of the Covered Funds. The imposition of redemption fees pursuant to the Funds’ Short-Term Trading Redemption Fee Policy for the Covered Funds may assist the Covered Funds in discouraging market timing activity.

The redemption fee is imposed to discourage market timing and short-term buying and selling of shares of the Covered Funds, which can disrupt the management of the Covered Funds’ investment portfolios and may have detrimental effects on the Covered Funds and other shareholders, and to allocate the costs the Covered Funds incur as a result of short-term trading and market timing. This fee is payable directly to the Covered Funds.

To determine whether the redemption fee applies, the Covered Funds do not count the day that you purchased your shares, and first redeem the shares that you have held the longest.

The Covered Funds may grant an exemption from the redemption fee when the Covered Funds have previously received assurances that transactions do not involve a substantial risk of the type of harm that the policy is designed to avoid. The Covered Funds may also waive the imposition of redemption fees in certain circumstances. For more information on this policy, please see the Funds’ prospectuses. The redemption fees returned to the assets of the Funds are stated in the Statements of Changes in Net Assets.

 

5. INVESTMENT ADVISORY FEES AND OTHER TRANSACTIONS WITH AFFILIATES

Matthews, a registered investment advisor under the 1940 Act, provides the Funds with investment management services. Pursuant to the prior Investment Advisory Agreement dated August 13, 2004, as amended (the “Prior Advisory Agreement”) and the current Investment Advisory Agreement dated February 1, 2016, as amended (the “Current Advisory Agreement,” and together with the Prior Advisory Agreement, the “Advisory Agreement”), the Funds pay Matthews (i) for management and advisory services; and (ii) for certain administrative services, an annual fee as a percentage of average daily net assets. Under the Advisory Agreement each of the Funds, other than Matthews Asia Strategic Income Fund, Matthews Asia Credit Opportunities Fund, Matthews Emerging Asia Fund, Matthews Asia Small Companies Fund, and Matthews China Small Companies Fund (the “Family-Priced Funds”), pays Matthews 0.75% of their aggregate average daily net assets up to $2 billion, 0.6834% of their aggregate average daily net assets over $2 billion up to $5 billion, 0.65% of their aggregate average daily net assets over $5 billion up to $25 billion, 0.64% of their aggregate average daily net assets over $25 billion up to $30 billion, 0.63% of their aggregate average daily net assets over $30 billion up to $35 billion, 0.62% of their aggregate average daily net assets over $35 billion up to $40 billion, 0.61% of their aggregate average daily net assets over $40 billion up to $45 billion, and 0.60% of their aggregate average daily net assets over $45 billion. Each of the Matthews Asia Strategic Income Fund and Matthews Asia Credit Opportunities Fund pays Matthews an annual fee of 0.65% of such Fund’s annual average daily net assets pursuant to the Advisory Agreement. Each of the Matthews Emerging Asia Fund, Matthews Asia Small Companies Fund, and the Matthews China Small Companies Fund pays Matthews an annual fee of 1.00% of the average daily net assets of such Fund up to $1 billion and 0.95% of the average daily net assets of such Fund over $1 billion pursuant to the Advisory Agreement. Each Fund pays Matthews a monthly fee at the annual rate using the applicable management fee calculated based on the actual number of days of that month and based on the Fund’s average daily net asset value for the month.

Pursuant to a fee waiver letter agreement, effective as of September 1, 2014, between the Trust, on behalf of the Family-Priced Funds, and Matthews (as amended from time to time, the “Fee Waiver Agreement”), for each Family-Priced Fund, Matthews has agreed to waive a portion of the fee payable under the Advisory Agreement and a portion of the fee payable under the Administration and Shareholder Services Agreement, if any Family-Priced Fund’s average daily net assets are over $3 billion, as follows: for every $2.5 billion average daily net assets of a Family-Priced Fund that are over $3 billion, the fee rates that otherwise would be applied for calculating fees payable under the Advisory Agreement and the Administration and Shareholder Services Agreement for such Family-Priced Fund with respect to such excess average daily net assets will be each reduced by 0.01%, in each case without reducing such fee rate below 0.00%.

 

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Under a written agreement between the Funds and Matthews (the “Operating Expense Agreement”), Matthews agrees to waive fees and reimburse expenses to a Fund if its expense ratio exceeds a certain percentage level. Effective April 29, 2016 for all Funds, except Matthews Asia Strategic Income Fund, Matthews Asia Credit Opportunities Fund, and Matthews China Small Companies Fund, this level is 1.25% for the Institutional Class. Matthews agrees to reduce the expense ratio by waiving an equal amount of non-class specific expenses for the Investor Class. Because certain expenses of the Investor Class may be higher than Institutional Class and class specific expenses may be waived solely for the Institutional Class, total annual Fund expenses for the Investor Class may exceed 1.25%. For Matthews Asia Strategic Income Fund and Matthews Asia Credit Opportunities Fund this level is 0.90% for the Institutional Class. Matthews agrees to reduce the expense ratio by waiving an equal amount of non-class expenses for the Investor Class. Because certain expenses of the Investor Class may be higher that the Institutional Class and class specific expenses may be waived solely for the Institutional Class, total annual Fund expenses for the Investor Class may exceed 0.90%. For Matthews China Small Companies Fund this level is 1.50% for the Investor Class. Prior to May 1, 2014 for Matthews Asia Innovators Fund, Matthews China Fund, Matthews India Fund, Matthews Japan Fund, Matthews Korea Fund, Matthews Asia Small Companies Fund and Matthews China Small Companies Fund, this level was 2.00%. For Matthews Asian Growth and Income Fund, Matthews Asia Growth Fund and Matthews Pacific Tiger Fund, this level was 1.90%. For Matthews Asia Dividend Fund and Matthews China Dividend Fund, this level was 1.50%. For Matthews Asia Strategic Income Fund, Matthews Asia Focus Fund and Matthews Emerging Asia Fund, Matthews agreed to waive fees and reimburse expenses to each Fund if its expense ratio exceeded 1.25%, 1.75%, and 2.00%, respectively, for the Institutional Class and agreed to reduce the expense ratio by an equal amount for the Investor Class. In turn, if a Fund’s expenses fall below the level noted within three years after Matthews has made such a reimbursement, the Fund may reimburse Matthews up to an amount of the recoupment available not to exceed the lesser of (i) the expense limitation applicable at the time of that fee waiver and/or expense reimbursement or (ii) the expense limitation in effect at the time of recoupment. For each Fund other than the Matthews Asia Value Fund and the Matthews Asia Credit Opportunities Fund, this agreement will continue through at least April 30, 2017 and may be extended for additional periods not exceeding one year. This agreement will continue through April 30, 2018 for the Matthews Asia Value Fund and the Matthews Asia Credit Opportunities Fund, and may be extended for additional periods not exceeding one year.

On June 30, 2016, the amounts subject to possible future recoupment under the expense limitation agreement are as follows:

 

     Expiring December 31,  
      2016        2017        2018        2019  
Matthews Asia Strategic Income Fund      $41,268           $79,504           $113,621           $37,218   
Matthews Asia Credit Opportunities Fund*                                    11,363   
Matthews China Fund                                    1,868   
Matthews Asia Value Fund                          41,278           78,075   
Matthews Asia Focus Fund      87,951           62,897           87,252           32,502   
Matthews Asia Innovators Fund**                                    6,612   
Matthews Asia ESG Fund                          183,986           73,031   
Matthews Emerging Asia Fund      85,828           152,283           452,048           220,456   
Matthews Asia Small Companies Fund                15,270           113,037           83,760   
Matthews China Small Companies Fund      7,801           63,212           133,327           48,816   

 

* Matthews Asia Credit Opportunities Fund commenced operations on April 29, 2016.
** The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

Investment advisory fees charged, waived fees and reimbursed additional expenses for the six-month period ended June 30, 2016, were as follows:

 

      Gross Advisory Fees        Advisory Fees
Waived and
Reimbursed in
Excess of the
Expense  Limitation
       Net Advisory Fee/
(Reimbursement)
 
Matthews Asia Strategic Income Fund      $201,344           ($37,218        $164,126   
Matthews Asia Credit Opportunities Fund*      12,844           (11,363        1,481   
Matthews Asian Growth and Income Fund      9,493,005                     9,493,005   
Matthews Asia Dividend Fund      15,129,583           (78,720        15,050,863   
Matthews China Dividend Fund      507,135                     507,135   
Matthews Asia Value Fund      6,010           (78,075        (72,065
Matthews Asia Focus Fund      36,061           (32,502        3,559   
Matthews Asia Growth Fund      2,270,246                     2,270,246   
Matthews Pacific Tiger Fund      21,358,088           (220,772        21,137,316   
Matthews Asia ESG Fund      21,642           (73,031        (51,389
Matthews Emerging Asia Fund      706,895           (220,456        486,439   
Matthews Asia Innovators Fund**      485,711           (6,612        479,099   
Matthews China Fund      1,957,298           (1,868        1,955,430   
Matthews India Fund      4,791,556                     4,791,556   
Matthews Japan Fund      9,062,397           (2,893        9,059,504   
Matthews Korea Fund      660,970                     660,970   
Matthews Asia Small Companies Fund      2,735,151           (83,760        2,651,391   
Matthews China Small Companies Fund      96,081           (48,816        47,265   

 

* Matthews Asia Credit Opportunities Fund commenced operations on April 29, 2016.
** The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

 

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Notes to Financial Statements (unaudited) (continued)

 

Certain officers and Trustees of the Funds are also officers and directors of Matthews. All officers serve without compensation from the Funds. The Funds paid the Independent Trustees $508,500 in aggregate for regular compensation during the six-month period ended June 30, 2016.

The Funds have an Administration and Shareholder Services Agreement dated August 13, 2004, as amended (the “Shareholder Services Agreement” or “Services Agreement”), in which the Funds pay an annual administration and shareholder servicing fee to Matthews, as a percentage of the average daily net assets of each Fund in aggregate, computed and prorated on a daily basis. Under the Shareholder Services Agreement, the Funds in the aggregate pay Matthews 0.25% of their aggregate average daily net assets up to $2 billion, 0.1834% of their aggregate average daily net assets over $2 billion up to $5 billion, 0.15% of their aggregate average daily net assets over $5 billion up to $7.5 billion, 0.125% of their aggregate average daily net assets over $7.5 billion up to $15 billion, 0.11% of their aggregate average daily net assets over $15 billion up to $22.5 billion, 0.10% of their aggregate average daily net assets over $22.5 billion up to $25 billion, 0.09% of their aggregate average daily net assets over $25 billion up to $30 billion, 0.08% of their aggregate average daily net assets over $30 billion up to $35 billion, 0.07% of their aggregate average daily net assets over $35 billion up to $40 billion, 0.06% of their aggregate average daily net assets over $40 billion up to $45 billion, and 0.05% of their aggregate average daily net assets over $45 billion.

Administration and shareholder servicing fees charged, for the six-month period ended June 30, 2016, were as follows:

 

      Gross
Administration and
Shareholder
Servicing Fees
       Administration and
Shareholder
Servicing Fees
Waived in Excess of
Expense Limitation
       Net
Administration and
Shareholder
Servicing Fees
 
Matthews Asia Strategic Income Fund      $44,747           $—           $44,747   
Matthews Asia Credit Opportunities Fund*      2,826                     2,826   
Matthews Asian Growth and Income Fund      2,061,834                     2,061,834   
Matthews Asia Dividend Fund      3,286,060           (78,720        3,207,340   
Matthews China Dividend Fund      110,187                     110,187   
Matthews Asia Value Fund      1,305                     1,305   
Matthews Asia Focus Fund      7,834                     7,834   
Matthews Asia Growth Fund      493,247                     493,247   
Matthews Pacific Tiger Fund      4,638,917           (220,772        4,418,145   
Matthews Asia ESG Fund      4,694                     4,694   
Matthews Emerging Asia Fund      102,214                     102,214   
Matthews Asia Innovators Fund**      105,523                     105,523   
Matthews China Fund      425,387                     425,387   
Matthews India Fund      1,040,318                     1,040,318   
Matthews Japan Fund      1,965,613           (2,893        1,962,720   
Matthews Korea Fund      143,553                     143,553   
Matthews Asia Small Companies Fund      395,233                     395,233   
Matthews China Small Companies Fund      13,885                     13,885   

 

* Matthews Asia Credit Opportunities Fund commenced operations on April 29, 2016.
** The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

In addition to the fees paid to the Funds’ transfer agent, the Funds bear the cost of fees paid to certain service providers or intermediaries, including supermarkets, which provide transfer agency, record-keeping and shareholder servicing to certain shareholders. These fees are referred to as intermediary service fees on the statements of assets and liabilities as well as the statements of operations. Additional information concerning these services and fees is contained in the Funds’ prospectuses.

 

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BNY Mellon Investment Servicing (US) Inc. (“BNY Mellon”), an indirect wholly owned subsidiary of The Bank of New York Mellon Corporation, serves as the Funds’ administrator, and in that capacity, performs various administrative and accounting services for each Fund. BNY Mellon also serves as the Funds’ transfer agent, dividend disbursing agent and registrar. An officer of BNY Mellon serves as Assistant Treasurer to the Funds. Total fees accrued by the Funds for administration and accounting services for the six-month period ended June 30, 2016 were as follows:

 

        Administration and
Accounting Fees
 
Matthews Asia Strategic Income Fund        $2,485   
Matthews Asia Credit Opportunities Fund*        158   
Matthews Asian Growth and Income Fund        114,491   
Matthews Asia Dividend Fund        222,102   
Matthews China Dividend Fund        6,118   
Matthews Asia Value Fund        73   
Matthews Asia Focus Fund        435   
Matthews Asia Growth Fund        27,386   
Matthews Pacific Tiger Fund        257,604   
Matthews Asia ESG Fund        261   
Matthews Emerging Asia Fund        5,673   
Matthews Asia Innovators Fund**        5,859   
Matthews China Fund        60,904   
Matthews India Fund        57,794   
Matthews Japan Fund        109,244   
Matthews Korea Fund        7,972   
Matthews Asia Small Companies Fund        21,943   
Matthews China Small Companies Fund        771   

 

* Matthews Asia Credit Opportunities Fund commenced operations on April 29, 2016.
** The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

Brown Brothers Harriman & Co. serves as the Funds’ custodian. Foreside Funds Distributors LLC, serves as the Funds’ distributor in the United States pursuant to an Underwriting Agreement. Matthews Asia Funds are distributed in Latin America by HMC Partners.

Cross trades for the six-month period ended June 30, 2016, were executed by the Funds pursuant to Rule 17a-7 under the 1940 Act. Cross trading is the buying or selling of portfolio securities between funds to which Matthews International Capital Management, LLC serves as investment advisor. At its regularly scheduled quarterly meetings, the Board reviews such transactions as of the most recent calendar quarter for compliance with the requirements and restrictions set forth by Rule 17a-7.

As of June 30, 2016, Matthews and its affiliates held 1,406,753 shares of the Matthews Asia Strategic Income Fund, representing approximately 23% of that Fund’s outstanding shares.

As of June 30, 2016, Matthews and its affiliates held 1,166,906 shares of the Matthews Asia Credit Opportunities Fund, representing approximately 92% of that Fund’s outstanding shares.

As of June 30, 2016, Matthews and its affiliates held 98,656 shares of the Matthews Asia Value Fund, representing approximately 50% of that Fund’s outstanding shares.

As of June 30, 2016, Matthews and its affiliates held 168,605 shares of the Matthews Asia Focus Fund, representing approximately 14% of that Fund’s outstanding shares.

As of June 30, 2016, Matthews and its affiliates held 337,109 shares of the Matthews Asia ESG Fund, representing approximately 36% of that Fund’s outstanding shares.

 

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Notes to Financial Statements (unaudited) (continued)

 

 

6. INVESTMENTS

The value of investment transactions made for affiliated and unaffiliated holdings for the six-month period ended June 30, 2016 were as follows:

 

      Affiliated Purchases        Proceeds from
Affiliated Sales
       Unaffiliated Purchases        Proceeds from
Unaffiliated Sales
 
Matthews Asia Strategic Income Fund      $—           $—           $22,832,765           $21,508,339   
Matthews Asia Credit Opportunities Fund*                          11,615,393             
Matthews Asian Growth and Income Fund                          203,848,345           363,072,347   
Matthews Asia Dividend Fund      19,131,159           7,433,018           498,175,816           830,836,411   
Matthews China Dividend Fund                          47,072,533           62,707,293   
Matthews Asia Value Fund                          499,205           161,974   
Matthews Asia Focus Fund                          762,302           1,660,719   
Matthews Asia Growth Fund                          43,861,049           153,013,436   
Matthews Pacific Tiger Fund      83,687,081           12,595,716           30,812,896           279,525,327   
Matthews Asia ESG Fund                          2,974,393           321,559   
Matthews Emerging Asia Fund      1,834,739                     18,133,114           55,363,965   
Matthews Asia Innovators Fund**                          64,210,283           74,293,756   
Matthews China Fund                          293,965,908           356,445,887   
Matthews India Fund      1,089,880           1,583,334           90,012,811           78,812,835   
Matthews Japan Fund      27,758,580           8,552,643           1,549,413,077           424,262,471   
Matthews Korea Fund                          29,059,293           59,767,413   
Matthews Asia Small Companies Fund                          106,235,444           167,330,456   
Matthews China Small Companies Fund                          4,824,771           7,245,666   

 

* Matthews Asia Credit Opportunities Fund commenced operations on April 29, 2016.
** The Fund’s name changed from Matthews Asia Science and Technology Fund to Matthews Asia Innovators Fund on April 29, 2016.

 

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7. HOLDINGS OF 5% VOTING SHARES OF PORTFOLIO COMPANIES

The 1940 Act defines “affiliated companies” to include investments in portfolio companies in which a fund owns 5% or more of the outstanding voting shares. During the six-month period ended June 30, 2016, the Funds below held 5% or more of the outstanding voting shares of the noted portfolio companies. During this period, other Funds in the Trust may also have held voting shares of the issuers at levels below 5%.

Investments in affiliates:

A summary of transactions in securities of issuers affiliated with a Fund for the six-month period ended June 30, 2016 is as follows:

 

    

Shares Held at

Dec. 31, 2015

    Shares
Purchased
   

Shares

Sold

    Shares Held at
June 30, 2016
   

Value at

June 30, 2016

   

Dividend

Income

Jan. 1, 2016–

June 30, 2016

   

Net Realized

Gain (Loss)

Jan. 1, 2016–

June 30, 2016

 
MATTHEWS ASIA DIVIDEND FUND             
Name of Issuer:              

Anritsu Corp.

    7,564,500        782,200        437,200        7,909,500        $45,642,823        $800,476        ($2,402,522

Ascendas India Trust

    53,470,700                      53,470,700        39,405,020        1,077,298          

Breville Group, Ltd.

    10,644,019                      10,644,019        60,033,974        1,147,658          

CapitaLand Retail China Trust, REIT

    43,232,400                      43,232,400        48,256,068        1,617,870          

China Machinery Engineering Corp. H Shares

    53,811,000        2,781,000               56,592,000        37,005,060                 

Greatview Aseptic Packaging Co., Ltd.†

    109,030,000               87,117,000        21,913,000                        

Minth Group, Ltd.

    59,535,000                      59,535,000        192,231,571        4,199,865          

Sercomm Corp.

    11,111,000        1,569,000        503,000        12,177,000        27,329,251               22,640   

Spotless Group Holdings, Ltd.

    48,823,125        9,587,962               58,411,087        49,433,995        1,560,995          

Yuexiu Transport Infrastructure, Ltd.

    109,322,000               5,930,000        103,392,000        66,705,866        2,252,045        495,381   
               

Total Affiliates

            $566,043,628        $12,656,207        ($1,884,501
               
MATTHEWS PACIFIC TIGER FUND             
Name of Issuer:              

Cheil Worldwide, Inc.

    6,154,297                      6,154,297        $90,836,833        $—        $—   

Fuyao Glass Industry Group Co., Ltd. H Shares

    31,836,000        3,000,000               34,836,000        81,071,770        3,599,251          

Green Cross Corp.

    846,872               70,000        776,872        127,832,970               3,794,822   

Hyflux, Ltd.†

    43,084,530               7,893,800        35,190,730                        

Synnex Technology International Corp.

    98,191,354                      98,191,354        106,531,796                 

Tata Power Co., Ltd.

    165,620,436                      165,620,436        180,343,321                 
               

Total Affiliates

            $586,616,690        $3,599,251        $3,794,822   
               
MATTHEWS EMERGING ASIA FUND              
Name of Issuer:              

National Seed JSC

    554,535        425,050               979,585        $4,391,970        $—        $—   
               

Total Affiliates

            $4,391,970        $—        $—   
               
MATTHEWS INDIA FUND              
Name of Issuer:              

eClerx Services, Ltd.

    3,135,581        53,094        75,624        3,113,051        $66,778,698        $—        $384,650   

VST Industries, Ltd.

    1,215,704                      1,215,704        30,694,195                 
               

Total Affiliates

            $97,472,893        $—        $384,650   
               
MATTHEWS JAPAN FUND              
Name of Issuer:              

AIT Corp.†

    1,130,300               1,103,700        26,600        $—        $—        $—   

Broadleaf Co., Ltd.

    753,800        1,408,200               2,162,000        19,925,737        331,289          

Daiken Medical Co., Ltd.

    1,755,200                      1,755,200        13,349,807        125,371          

Doshisha Co., Ltd.

    1,643,200        449,600               2,092,800        40,205,827        399,286          

eGuarantee, Inc.

    841,800        63,000        104,800        800,000        25,442,790        244,152        1,527,506   

MORESCO Corp.†

    774,500               456,300        318,200                        

Infomart Corp

           3,737,500               3,737,500        34,224,891        193,084          

N Field Co., Ltd.

    1,006,400               1,006,400                               

Financial Products Group Co

    3,258,800        2,020,400        312,300        4,966,900        51,275,622               2,458,203   

Sac’s Bar Holdings, Inc.

    1,480,350        330,000               1,810,350        17,710,741        387,932          

TechnoPro Holdings, Inc.

    1,380,700        931,300               2,312,000        71,991,926        1,245,423          

Trancom Co., Ltd.

    429,400        147,000        28,900        547,500        36,137,592        176,984        887,193   

W-Scope Corp.

           2,081,400 ‡      81,800        1,999,600        47,302,919               1,776,100   
               

Total Affiliates

            $357,567,852        $3,103,521        $6,649,002   
               
MATTHEWS ASIA SMALL COMPANIES FUND              
Name of Issuer:              

FineTek Co., Ltd.†

    3,192,920               1,329,980        1,862,940        $—        $—        $—   
               

Total Affiliates

            $—        $—        $—   
               

 

Issuer was not an affiliated company as of June 30, 2016.
Includes stock split during the period.

 

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Notes to Financial Statements (unaudited) (continued)

 

 

8. INCOME TAX INFORMATION INCOME AND WITHHOLDING TAXES

It is the policy of the Funds to comply with all requirements of the Internal Revenue Code of 1986, as amended (“the Code”), applicable to regulated investment companies and to distribute substantially all of their taxable income to their shareholders. The Funds have met the requirements of the Code applicable to regulated investment companies for the year ended December 31, 2015. Therefore, no federal income tax provision is required.

Management has analyzed the Funds’ tax positions taken on federal income tax returns for all open tax years (current and prior three tax years), and has concluded that no provision for federal income tax is required in the Funds’ financial statements. The Funds’ federal and state income and federal excise tax returns for tax years for which the applicable statutes of limitations have not expired are subject to examination by the Internal Revenue Service and state departments of revenue.

Under current tax law, the Funds have elected to defer certain qualified late-year losses and recognize such losses in the year ending December 31, 2015.

 

      Late Year
Losses*
 
Matthews Asia Strategic Income Fund      $179,842   
Matthews Asian Growth and Income Fund      366,546   
Matthews Asia Dividend Fund      32,923,665   
Matthews China Dividend Fund      87,749   
Matthews China Fund      2,902,517   

 

* The Funds have elected to defer certain qualified late-year losses and recognize such losses in the next fiscal year.

As of December 31, 2015, the Funds have capital loss carryforwards available to offset future realized capital gains through the indicated expiration dates as follows:

 

                       Amount With No Expiration*           
LOSSES DEFERRED EXPIRING IN:    2016        2017        Short-term
Losses
       Long-term
Losses
       Total  
Matthews Asia Strategic Income Fund      $—           $—           $1,535,532           $—           $1,535,532   
Matthews Asia Focus Fund                          128,568           508,677           637,245   
Matthews Asia Growth Fund                19,506,205                               19,506,205   
Matthews Asia ESG Fund                          29,988                     29,988   
Matthews Emerging Asia Fund                                    883,817           883,817   
Matthews Japan Fund      20,727,478           44,032,426                               64,759,904   
Matthews Asia Small Companies Fund                          12,769,786                     12,769,786   

 

* Post-Enactment Losses: Must be utilized prior to losses subject to expiration.

Under the Regulated Investment Company Modernization Act of 2010, the Funds are permitted to carry forward capital losses incurred in taxable years beginning after December 22, 2010 for an unlimited period. However, any losses incurred during those future taxable years will be required to be utilized prior to any losses incurred in pre-enactment taxable years, which generally expire after eight years from when they are incurred. Additionally, post-enactment capital losses that are carried forward will retain their character as either short-term or long-term capital losses rather than being considered all short-term as under previous law.

 

9. SUBSEQUENT EVENTS

Management has evaluated the impact of all subsequent events on the Funds through the date the financial statements were issued, and has determined that there were no subsequent events that require recognition or disclosure in the financial statements.

 

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Approval of Investment Advisory Agreement (unaudited)

 

The Matthews Asia Credit Opportunities Fund (the “Fund”), which is a new series of the Trust, has retained Matthews International Capital Management, LLC (“Matthews”) to manage its assets pursuant to the Advisory Agreement, which has been approved by the Board of Trustees of the Fund, including the Independent Trustees. Following an initial term with respect to the Fund upon its commencement of operations, the Advisory Agreement continues in effect from year-to-year provided that the continuance is specifically approved at least annually by the vote of the holders of at least a majority of the outstanding shares of the Fund, or by the Board of Trustees, and, in either event, by a majority of the Independent Trustees of the Trust casting votes in person at a meeting called for that purpose.

At an in-person meeting held on February 23-24, 2016, the Board, including the Independent Trustees of the Trust, approved the Advisory Agreement, with respect to the Fund, for an initial term through August 31, 2017.

The Independent Trustees reviewed and discussed the information provided by Matthews at that and prior meetings. The Independent Trustees were assisted in their deliberations by their independent legal counsel. Below is a summary of the factors considered by the Board in approving the Advisory Agreement with respect to the Fund.

 

T The nature, extent and quality of the services to be provided by Matthews under the Advisory Agreement. The Trustees considered the experience and qualifications of the personnel at Matthews who would be responsible for providing services to the Fund and would be responsible for the daily management of the Fund’s portfolio. The Trustees noted that Matthews has continued to expand its professional staff at both senior and junior levels over the past several years, and has enjoyed relative stability of its senior executive and portfolio management. The Trustees noted Matthews’ on-going commitment to governance, compliance, risk and valuation practices. The Trustees viewed Matthews as well positioned to provide high quality services to the Fund under various market conditions, as demonstrated by the past volatile and challenging securities markets that have caused either contracting revenues or rapidly expanding assets at different times. The Trustees concluded that Matthews has the quality of personnel and other investment resources essential to performing its duties under the Advisory Agreement, and that the nature, overall quality, cost and extent of such management services are expected to be satisfactory and reliable.

 

T The investment performance of Matthews. The Trustees are familiar with the short-term and long-term performance of other series of the Trust on both an absolute basis and in comparison to peer funds and benchmark indices. This is a new Fund without any prior performance. The Trustees also emphasized longer-term performance goals, which they believe are more important than short isolated periods for purposes of evaluating Matthews’ success in meeting Fund and shareholder objectives. The Trustees concluded that Matthews has the potential to generate acceptable long-term performance for the Fund.
T The extent to which Matthews realizes economies of scale as the Fund grows larger and whether Fund investors benefit from any economies of scale. Because the Fund is new, it is not expected to recognize economies of scale for some time. The Trustees expect to monitor the Fund’s growth and evaluate economies of scale at future renewals of the Advisory Agreement in effect at that time. They expect that the Fund will benefit from existing economies of scale because of the family pricing of certain series of the Trust, including the Fund, including recently negotiated breakpoints. Additional fee reductions were adopted under the Administration and Shareholder Services Agreement for all series of the Trust for each increment of $5 billion of additional assets over $25 billion, with the lowest fee rate on assets over $45 billion. As a result, the Trustees remain satisfied about the extent to which economies of scale would be shared with the Fund and its shareholders.

 

T The costs of the services to be provided by Matthews and others. The Trustees considered the proposed advisory fees and the expected total fees and expenses of the Fund in comparison to the advisory fees and other fees and expenses of other funds in the Trust, noting that the Fund does not have a fully suitable peer group for its specialty strategy. The Trustees noted the expense limitation that would apply to this Fund, and that the administrative fee would be based on the combined family pricing for the Trust. Also, the total expense ratio to be paid by investors in the Fund, which is most representative of an investor’s net experience, would be reasonable.

 

T The profits to be realized by Matthews and its affiliates from the relationships with the Fund. The Trustees recognized that, as a new fund with expense limitations in place, it is unlikely that the Fund will generate profits for Matthews initially and may not do so until the Fund has experienced some significant growth. The Trustees also considered that the additional benefits expected to be derived by Matthews from its relationship with the Fund are limited solely to research benefits received in exchange for “soft dollars.”

No single factor was determinative of the Board’s decision to approve the Advisory Agreement, but rather the Trustees based their determination on the total mix of information available to them. After considering the factors described above, the Board concluded that the terms of the advisory arrangement would be fair and reasonable to the Fund in light of the services that Matthews is expected to provide, and that the Fund’s shareholders are expected to receive reasonable value in return for the advisory fees paid. For these reasons, the approval of the Advisory Agreement with respect to the Fund would be in the best interests of the Fund and its shareholders.

The Advisory Agreement may be terminated by the Trustees on behalf of the Fund or by Matthews upon 60 days’ prior written notice without penalty. The Advisory Agreement will also terminate automatically in the event of its assignment, as defined in the 1940 Act.

 

 

matthewsasia.com  |  800.789.ASIA      153   


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Matthews Asia Funds

   

INVESTMENT ADVISOR

Matthews International Capital Management, LLC

Four Embarcadero Center, Suite 550

San Francisco, CA 94111

800.789.ASIA

 

CUSTODIAN

Brown Brothers Harriman & Co.

50 Milk Street

Boston, MA 02109

 

ACCOUNT SERVICES

Matthews Asia Funds

P.O. Box 9791

Providence, RI 02940

800.789.ASIA

 

LEGAL COUNSEL

Paul Hastings LLP

55 Second Street, 24th Floor

San Francisco, CA 94105

 

LOGO

 

P.O. Box 9791  |  Providence, RI 02940  |  matthewsasia.com  |  800.789.ASIA (2742)

 

Matthews Asia Funds are distributed in the United States by Foreside Funds Distributors LLC, Berwyn, Pennsylvania

Matthews Asia Funds are distributed in Latin America by HMC Partners

 

LOGO

 

SAR-0616-262M


Table of Contents
Item 2. Code of Ethics.

Not applicable.

 

Item 3. Audit Committee Financial Expert.

Not applicable.

 

Item 4. Principal Accountant Fees and Services.

Not applicable.

 

Item 5. Audit Committee of Listed Registrants.

Not applicable.

 

Item 6. Investments.

 

(a) Schedule of Investments in securities of unaffiliated issuers as of the close of the reporting period is included as part of the report to shareholders filed under Item 1 of this form.

 

(b) Not applicable.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

Not applicable.

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

Not applicable.

 

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

Not applicable.


Table of Contents
Item 10. Submission of Matters to a Vote of Security Holders.

There have been no material changes to the procedures by which the shareholders may recommend nominees to the registrant’s board of directors, where those changes were implemented after the registrant last provided disclosure in response to the requirements of Item 407(c)(2)(iv) of Regulation S-K (17 CFR 229.407) (as required by Item 22(b)(15) of Schedule 14A (17 CFR 240.14a-101)), or this Item.

 

Item 11. Controls and Procedures.

 

  (a) The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15(b)).

 

  (b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d))) that occurred during the registrant’s second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

Item 12. Exhibits.

 

  (a)(1) Not applicable.

 

  (a)(2) Certifications pursuant to Rule 30a-2(a) under the 1940 Act and Section 302 of the Sarbanes-Oxley Act of 2002 are attached hereto.

 

  (a)(3) Not applicable.

 

  (b) Certifications pursuant to Rule 30a-2(b) under the 1940 Act and Section 906 of the Sarbanes-Oxley Act of 2002 are attached hereto.


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SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant)

 

Matthews International Funds

 

By (Signature and Title)*

 

/s/ William J. Hackett

  William J. Hackett, President
  (principal executive officer)

 

Date

 

September 6, 2016

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By (Signature and Title)*

 

/s/ William J. Hackett

  William J. Hackett, President
  (principal executive officer)

 

Date

 

September 6, 2016

 

By (Signature and Title)*

 

/s/ Shai Malka

  Shai Malka, Treasurer
  (principal financial officer)

 

Date

 

September 6, 2016

 

* Print the name and title of each signing officer under his or her signature.
EX-99.CERT 2 d231599dex99cert.htm SECTION 302 CERTIFICATIONS Section 302 Certifications

Certification Pursuant to Rule 30a-2(a) under the 1940 Act and Section 302 of the Sarbanes-Oxley Act

I, William J. Hackett, certify that:

 

1. I have reviewed this report on Form N-CSR of Matthews International Funds;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

  (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

  (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

  (c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

  (d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and


5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

  (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

  (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date:  

September 6, 2016

   

/s/ William J. Hackett

 
      William J. Hackett, President  
      (principal executive officer)  


Certification Pursuant to Rule 30a-2(a) under the 1940 Act and Section 302 of the Sarbanes-Oxley Act

I, Shai Malka, certify that:

 

1. I have reviewed this report on Form N-CSR of Matthews International Funds;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

  (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

  (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

  (c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

  (d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and


5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

  (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

  (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date:  

September 6, 2016

   

/s/ Shai Malka

 
      Shai Malka, Treasurer  
      (principal financial officer)  
EX-99.906 CERT 3 d231599dex99906cert.htm SECTION 906 CERTIFICATIONS Section 906 Certifications

Certification Pursuant to Rule 30a-2(b) under the 1940 Act and Section 906 of the Sarbanes-Oxley Act

I, William J. Hackett, President of Matthews International Funds (the “Registrant”), certify that:

 

  1. The Form N-CSR of the Registrant (the “Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

 

  2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

Date:  

September 6, 2016

   

/s/ William J. Hackett

 
      William J. Hackett, President  
      (principal executive officer)  

I, Shai Malka, Treasurer of Matthews International Funds (the “Registrant”), certify that:

 

  1. The Form N-CSR of the Registrant (the “Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

 

  2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

Date:  

September 6, 2016

   

/s/ Shai Malka

 
      Shai Malka, Treasurer  
      (principal financial officer)  
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