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Lombard Odier Investment Managers The best way to benefit from the long term out performance of Small & Mid Caps in the European market. Fund Objectives The Funds provides access to 90% of listed companies in Europe ex-UK (market cap > EUR 200m) A too large universe to be ignored – Full of investment opportunities Objective of +2 to +4% relative out-performance vs. the FT Bottom 10% Small & Mid Cap Index (ex UK) Fund Strategy Bottom-up - Long only - Focus on our own research Avoid liquidity traps - Mid to Long term positioning Bias toward Quality & Mid to long term themes A very stable management team : two fund managers with more than 20 years of experience each Portfolio Construction Continental European Focus (no UK) At least 60% of the assets must be invested in equities issued by companies with a market capitalization below € 4.5bn and listed in Euros 60 to 80 positions - No position above 5% of NAV Portfolio limits: max 15% relative overweight in a sector, max 30% in one country, max 15% cash A very stable and experienced management team Xavier Lagrandie, Head Portfolio manager, has 23 years of investment experience and is managing the LO Eurozone Fund since January 2004, when he joined Lombard Odier Michel Leblanc, Portfolio manager has also 23 years of investment experience. He joined Lombard Odier in 2001, as a Buy-side analyst, before taking his current position in January 2006 Malek Dahmani, Analyst, joined the team in 2013. He joined Lombard Odier in 2010. 1 LO Funds – Eurozone Small & Mid Caps
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Lombard Odier Investment Managers 2 LO Funds – Eurozone Small & Mid Caps LOF EUROZONE SMALL & MID CAPS - FUND DATA & HISTORICAL PERFORMANCE* LOF EUROZONE SMALL & MID CAPS - PRODUCT DETAILS 31.03.2014 Inception Date 13.06.03 Legal Structure SICAV - UCITS Compliant Custodian Bank CACEIS Bank Luxembourg Central Administration CACEIS Bank Luxembourg Investment TermsClass IClass PClass M Management fee0.9% Distribution fee-0.9%- Performance fee--- LiquidityDaily Subs. & redemp. deadlineT-1, 15:00 CET Subs. & redemp. payment dateT+3 Redemption penalties--- Minimum investmentCHF 1'000'000 (or equivalent)EUR 3'000 (or equivalent) Reference currencyEUR ISIN AccumulatingDistributing AccumulatingDistributing AccumulatingDistributing EUR share class LU0256787887LU0257654789 LU0256787531LU0256787705 LU086642 1158 LU0866421232 Fund Size (mn): EUR 373Equity Pos.: 75Volatility***: 14.0%T.E.***: 4.1%Information Ratio***: -0.87Sharpe Ratio***: 0.36 JanFebMarAprMayJunJulAugSepOctNovDecFundBench** 2014 -0.73%4.03%0.32% 3.61%4.26% 2013 2.84%1.90%-1.05%-1.16%3.42%-3.55%4.49%0.53%2.77%3.47%1.20%1.35%17.13%22.35% 2012 8.35%5.36%0.44%-0.94%-6.72%0.32%5.12%1.31%3.43%0.29%2.18%1.22%21.43%24.26% 2011 -2.07%2.21%-0.14%3.61%-1.45%-3.49%-5.56%-10.52%-8.43%6.73%-2.01%0.25%-20.07%-16.24% 2010 1.63%-0.87%9.60%2.17%-7.55%-1.49%5.18%-2.20%7.90%5.20%1.17%9.47%32.87%26.99% Past performance is not a guarantee of future results Since launch 217.92%195.34% * Dividend accumulated private client share class, net performance in EUR Inception date 13.06.2003 ** FT Mid Cap Europe ex UK TR *** Last three years, monthly basisSource: LOIM
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