Pan Europe Fund

Past performance is not a guide to future performance. The value of an investment and the income from it may go down as well as up and investors may not get back the amount originally invested.

Fund aim

The fund aims to achieve long-term capital growth through investment in the equity securities of companies incorporated in continental Europe and the UK or companies which derive a predominent proportion of their revenues or profits or which are predominantly operating within this geographical region. Investments will be made predominantly in the equities of large or mid-sized companies.

Fund overview and performance target

Fund manager, Steve Cordell, adopts a business cycle approach, managing the fund as a core European broad based equity investment. The fund aims to outperform the benchmark, FTSE World Europe Index, by +2% (net of fees) on a calendar year basis over the medium term. Tracking risk up to 8%, typically managed between 3-6%. There is no guarantee that this target will be achieved.

  

Source & copyright: S&P Capital IQ. Copyright © 2012 by McGraw-Hill international (UK) Limited. All rights reserved.

Source & copyright: Morningstar OBSR Analyst Rating™.

Fund facts
Manager(s) start date 2nd January 2003
Launch date 2nd January 2003
Sector Equity - Europe inc UK
Benchmark FTSE Europe
Dividend pay dates 31st Jan | 31st Jul
Fund type Dublin OEIC sub-fund
Base currency Euro
Type of share Income
Share classes A
B Inc & Acc
X Inc & Acc
Fund codes
Sedol A GBP: 3237344
A EUR: 3237366
A USD: 3237407
B EUR: 3237463
B USD: 3237496
ISIN A GBP: IE0032373445
A EUR: IE0032373668
A USD: IE0032374070
B EUR: IE0032374633
B USD: IE0032374963
Bloomberg A GBP: CZPEUSA
A EUR: CZPEUEA
A USD: CZPEUIA
B EUR: CZPEUEB
B USD: CZPEUIB

Fund manager(s)

Steve Cordell

Steve Cordell joined Cazenove in 2002 and is a senior member of the pan-European equity team. Steve joined from HSBC Asset Management (Europe) Ltd where he was responsible for the multi award-winning AA-rated HGIF Pan European fund and several other retail and institutional pan-European portfolios. He graduated from Trinity College, Oxford and is a Member of the Securities Institute. Steve is a Director of Cazenove Capital and has 19 years’ investment experience.

Fund charges
Initial charge A: 0.00%
B: 5.00%
X: 0.00%
Annual management charge A: 1.00%
B: 1.50%
X: 0.75%
Minimum initial investment
A £250,000
B £5,000