Overview

This is an unregulated fund and unsuitable for retail investors. Access to performance and other fund documents is restricted to registered users.



Investment Objective

The fund aims only to invest where it has an edge. The portfolio is mainly invested in large capitalisation stocks as liquidity is a major priority for the fund. Currency exposure is minimized through hedging of the fund back to its respective base currency.


Comparative

Primary: Cash Secondary: MSCI Europe Total Return index.


Structure

The Fund is an open-ended mutual fund company, incorporated and registered in the Cayman Islands.


Accounts date

Financial year end 31st December.


Launch Date

31st October 1994.


Dividends

In accordance with the Fund's investment objective, income or gains derived from its investments will not be distributed.


Charges

Management fee: 1%, Performance fee: 20% of net gains with a quarterly high-water mark, Sales fee: up to 2%.


Price Reporting

As well as on this site, prices are published daily in the Financial Times (Managed Funds Service under Odey Asset Management LLP); SEDOL/ISIN identifiers 2671299/KYG385431070


Investment Manager

Odey Asset Management LLP, Authorised and Regulated by the Financial Services Authority.


Administrator

Daiwa Europe Fund Managers Ireland Limited


Custodian & Prime Broker

Morgan Stanley and Co. International Ltd., London and UBS London.


Auditors

Deloitte & Touche


EU savings Directive

Out of scope

EU Savings Directive

Registered in England No: OC302585. Registered Office: 12 Upper Grosvenor Street, London, W1K 2ND
Authorised and regulated by the Financial Services Authority.