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Contact details

ManagerGroupLogo
Tideway Investment Partners,
83 Victoria Street,
London, L-1417
+44 203 178 5982 (Main Number)
00352 / 248 329-444 (Fax Number)

info@alceda.lu

Fund managers

* Peter Doherty»01-Sep-2011 to Present


Investment objectives

The Tideway UCITS Funds - Global Navigator aims to generate returns of 6% to 8% p.a. net of fees with low volatility through the full economic cycle. The fund invests predominantly in fixed income credit with overlay in currencies, equity indices and interest rate futures. The fund does not follow a reference index.

Performance

performance chart
chart
    1y 3y 5y 12m-24m 24m-36m 36m-48m 48m-60m
+20.2 n/a n/a n/a n/a n/a n/a
  ABSOLUTE RETURN +9.5+6.0+23.8-4.2+1.1+13.9+2.5
Price
  Bid OfferCurrency+/-YieldCiticodeSEDOLISINCodeWKNDate
pdf TIDEWAY UCITS- GLOBAL NAVIGATOR FUND A 127.87 GBP 0.02 - 0D1Q B6WC7P9 LU0639321321 A1JG41 17-May-2013
pdf TIDEWAY UCITS- GLOBAL NAVIGATOR FUND B 130.04 GBP 0.02 - 0D1R B6WC8C3 LU0639321677 A1JG42 17-May-2013
pdf TIDEWAY UCITS- GLOBAL NAVIGATOR FUND F 127.48 GBP 0.04 - F58Q n/a LU0862424198 A1J9K4 17-May-2013
pdf TIDEWAY UCITS- GLOBAL NAVIGATOR FUND G 102.63 USD 0.04 - F58R n/a LU0862424354 A1J9K5 17-May-2013
pdf TIDEWAY UCITS- GLOBAL NAVIGATOR FUND C 127.45 GBP 0.04 - F58Y n/a LU0854277257 n/a 17-May-2013
pdf TIDEWAY UCITS- GLOBAL NAVIGATOR FUND D 104.14 107.26 USD 0.05 - F58Z n/a LU0854277414 n/a 17-May-2013
pdf TIDEWAY UCITS- GLOBAL NAVIGATOR FUND E 102.87 EUR 0.04 - F59A n/a LU0854277687 n/a 17-May-2013
pdf TIDEWAY UCITS- GLOBAL NAVIGATOR FUND H 103.46 EUR 0.10 - F59B n/a LU0862424438 n/a 17-May-2013
Detailed fund information
Launch date06-Sep-2011
Fund size £31.7m / $48.2m (17-May-13)
Minimum initial £ 2,000
Minimum additional £ 1,000
Savings plan Fund has Savings Plan 
FE Trustnet Sector Absolute Return
Asset ClassMixed Asset
Pricing times0:00 DD
Dealing frequencyDaily
Distributor statusFund distributor status
Peer groups
Region Asset Class Sector
Luxembourg Mixed Asset Absolute Return
Largest holdings, 28-Mar-2013
Holding (%) Rank Holding (%) Rank
NWEN FINANCE 5.875% 13/216.661PRUDENTIAL 5.25% UNDATED NTS USD10004.246
OLD MUTUAL PLC FLTG RATE PERP BDS GBP1000 6-3766.052TREASURY 0.25% IDX LKD GILT 22/3/52 GBP0.013.787
FRESHWATER FINANCE 6.576% LOAN NTS PERP EUR500005.613FRIENDS LIFE GROUP PLC 6.875% STEP-UP TIER1 INS CP SEC GBP(VAR)3.598
LBG CAPITAL 2 15% 21/12/2019 4.784AQUARIUS + INVT 8.25% 12-UN.FLR3.549
CREDIT SUISSE GROUP (GUERNSEY) I 7.875% CNV BDS 24/2/41(CREDIT SUISSE GR)4.675AQUARIUS & INVESTMENTS PLC 4.25% MTN 02/10/43 EUR1000003.5110
 Total46.43 
Regional weightings, 28-Mar-2013
Region(%)Rank 
UK66.041 66.04% UK
Money Market12.002 12.00% Money Market
Ireland8.373 8.37% Ireland
France4.944 4.94% France
USA4.575 4.57% USA
Belgium2.676 2.67% Belgium
Netherlands1.417 1.41% Netherlands
Total100.00 

Price total return performance figures are calculated on a bid price to bid price basis (mid to mid where applicable) with gross income (dividends) reinvested. Performance figures are shown in fund’s native currency unless otherwise specified – performance figures can be rebased to Pence Sterling (GBX) using the rebasing option.

 
 
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Ratios

  1y 3y
Volatility 3.31 n/a
Alpha 21.32 n/a
Beta -0.14 n/a
Sharpe 5.02 n/a
Info Ratio 1.97 n/a
R2 0.04 n/a
Quartiles:   1  2  3  4  help with ratios
vs. Absolute Return»

Fund vs sector

  1y 3y
Position 6 / 132 -
Quartile 1 -

Fund ratings

FE Crown Rating: 0 FE
Crown Rating
(Quantitative)
(Insufficient History)
n/aS&P Rating
(Qualitative)

Downloads

Asset allocation (estimated from fund's sector average)

Alternative Investment Strategies, 100.00%
100.0000% ofAlternative Investment Strategies

Sector analysis

Charting

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