Aberdeen Actively Hedged International Equities Fund

Aberdeen Actively Hedged International Equities Fund


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General Information
Fund Name Aberdeen Actively Hedged International Equities Fund (Wholesale) More information...
Manager Aberdeen Asset Management Limited
APIR Code CRS0005AU  
Sector/Asset Class Equity World Large Growth  
Morningstar Rating More information...
Morningstar Recommendation Login now to view this recommendation. More information...
Standard & Poor's Rating More information...
Legal Structure Investment Fund  
Fund Inception 8th Feb 1993
Fund Size $1002.59 million (as at 31st Jul 2010) 
Entry Price $1.8367 (as at 2nd Sep 2010) 
Exit Price $1.8275 (as at 2nd Sep 2010) 
Related Links
Gearing Available  Margin Lending Available (70%)

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Fund Performance (as at 31st Aug 2010) More information... NOTE : returns for periods greater than 1 year are annualised
  1 Month
%
3 Month
%
6 Month
%
1 Year
% p.a.
2 Year
% p.a.
3 Year
% p.a.
5 Year
% p.a.
7 Year
% p.a.
Total Return -2.44 -2.35 -0.8 -0.27 -8.03 -10.82 -2.65 0.1
Growth Return -2.44 -5.30 -3.79 -3.28 -9.94 -12.73 -4.16 -1.53
Income Return 0.00 2.95 2.99 3.01 1.91 1.91 1.51 1.63
Morningstar Index
(Morningstar Peer Group Wholesale Investment Trust Equity World Large Growth Index) More information...
Total Return 0.33 -2.36 0.65 2.35 -5.38 -9.13 -1.61 0.67
Market Index
(MSCI World Ex Australian Net Dividend Reinvestment Australian Dollar)
Total Return 0.73 -2.80 -0.17 371.14 125.13 -10.28 -2.75 0.30


Asset Allocation (as at 31st Jul 2010) More information...
Domestic Shares 0%
International Shares 97.46%
Cash 2.54%
Listed Property 0%
Direct Property 0%
Domestic Fixed Interest 0%
International Fixed Interest 0%
Mortgage 0%
Other 0%
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Objectives and Strategy
Fund Objective To provide investors with high capital growth over the medium to long term by seeking exposure to companies listed on securities exchanges around the world.
Fund Strategy The investment strategy of the Fund is to utilise Aberdeen's proven investment philosophy and approach to invest primarily in a concentrated portfolio of global listed securities that have the potential for capital growth and increased earning potential. The global equities team draws on the research capabilities of the regional investment teams located worldwide.


Offer Information
Management Expense Ratio (MER) 0.96% (as at 30th Jun 2007)
Standard Entry Fee 0%
Entry Fee via InvestSMART 0%
Standard Exit Fee 0%
Exit Fee via InvestSMART 0%
Minimum Initial Investment $20,000
Minimum Additional Investments $1,000
Minimum Redemption Amount $1,000
Savings Plan Comments No Savings Plan available

Top 10 Holdings (as at 31st Jul 2010)
Holding Type % of Portfolio
Vodafone Group PLC Stock 4.28
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Managed Fund data is supplied by Morningstar Research and Standard & Poor's Information Services and is subject to the following disclaimer. Managed fund unit prices are indicative only.




IMPORTANT : This information has been prepared without taking into account your objectives, financial situation or needs and you should consider if the information is appropriate for you before making an investment decision. Neither InvestSMART Financial Services Pty Ltd nor any of its Related Companies make any recommendations as to the merits of any investment opportunity referred to in its emails or its related websites. Product disclosure statements for financial products offered through InvestSMART can be downloaded from www.investsmart.com.au or obtained by contacting 1300 880 160. You should consider the product disclosure statement before making a decision about the product. All indications of performance returns are historical and can not be relied upon as an indicator for future performance.

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