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Contact details

ManagerGroupLogo
155 Bishopsgate, London, EC2M 3AD
0800 073 2001 (Dealing)
0870 888 3029 (Fax Number)
0800 317 573 (Main Number)
+44 (0) 20 7065 1407 (Overseas)
0870 601 6117 (Valuations)

Investment-trusts@allianzgi.co.uk

Fund managers

* Allianz RiskMaster Multi-Asset team15-May-2012 to Present
 
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Investment objectives

The Fund aims to achieve long-term capital growth by maintaining a balance between investments which are considered lower to medium risk, and those which are considered higher risk.The fund seeks to achieve this objective by actively investing in a broad range of asset classes across all economic sectors worldwide, and managing the risks associated with investing in these assets by utilising a broad range of risk management techniques.

Key Information

Fund vs sector

  1y 3y
Position 148 / 185 -
Quartile 4 -

Fund ratings

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

Ratios

  1y 3y
Volatility n/a n/a
Alpha n/a n/a
Beta n/a n/a
Sharpe n/a n/a
Info Ratio n/a n/a
R2 n/a n/a
Quartiles:   1  2  3  4   help with ratios
vs. Flexible Investment»
performance chart
chart
    1y3y5y12m-24m24m-36m36m-48m48m-60m
ACC +18.5n/an/an/an/an/an/a
  FLEXIBLE INVESTMENT   +23.4+27.5+20.3-7.6+11.8+20.0-21.4
Clean share class
   Bid OfferDateYieldOCF help CiticodeSEDOL
pdf ALLIANZ RISKMASTER MODERATE C ACC 119.05 (p) 21-May-2013 n/a 1.19% G0ZL B7V78Y8
Other share classes
   Bid OfferDateYieldOCF help CiticodeSEDOL
pdf ALLIANZ RISKMASTER MODERATE A ACC 118.14 (p) 21-May-2013 n/a 1.94% G0ZK B7V78S2

The Ongoing Charges Figure (OCF) shows the drag on performance caused by operational expenses associated with a fund.

Expenses which are represented by this figure include payments to the manager, the trustee the custodian and their representatives. The figure also includes registration, regulatory, audit and legal fees, and the costs of distribution.

Performance fees, transaction costs, interest on borrowing, costs associated with derivatives, entry and exit fees and soft commissions are not included in the OCF calculation, and should be factored in separately by the investor.

The OCF is calculated by taking the sum of these expenses incurred in the last 12 months and dividing this by the average net assets of that class for the last 12 months.

Total Expense Ratio (TER) is a formula designed to show the ongoing costs to the investor associated with a fund, including some charges which are not factored into the annual management fee. In addition the fund’s annual fee, charges such as trading fees, audit and legal fees, and operational expenses are included in the TER, which is worked out by dividing the total cost of the fund by its total assets to arrive at a percentage.

Unlike the Ongoing Charges Figure, the TER takes into account performance fees. It does not include transaction costs paid to the custodian.

Detailed fund information
Fund type flag UK Open Ended Investment Company (OEIC)
Own ISA wrapper Fund has ISA Wrapper help with ratios Fund size£6.5m / $9.9m (20-May-13)
Savings plan Fund has Savings Plan Minimum: £ 50.0 Monthly Launch15-May-2012
Pricing times12:00 Dealing frequencyn/a
CAT standardCAT Standard Dealing timesn/a
Minimum initial£ 500
Minimum additionaln/a
Initial charge4.00%
Annual management charge1.50%
Note to chargesn/a
Trustee / DepositaryJP Morgan Trustee and Depositary Company Ltd
RegistrarInternational Financial Data Services (UK) Ltd
Multi-Managern/a
Indexn/a
Dividend policyn/a
Peer groups
Region Asset Class Investment Focus Sector
Global Mixed Asset n/a Flexible Investment
Largest holdings, 31-Jan-2013
Holding (%) Rank Prev Fund factsheet Equity factsheet
DB X-TRACKERS MSCI EMERGING MARKETS INDEX UCITS ETF 1C GBP 17.09 1 (1) - *
UBS ETF SICAV 15.75 2 (2) - -
FX FORWARD LEG 22.02.2013 GBP 4588439 L 14.89 3 (-) - -
ISHARES MSCI WORLD INC USD 13.08 4 (4) - *
ISHARES J.P. MORGAN $ EMERGING MARKETS BOND USD 11.50 5 (5) - *
ISHARES MARKIT IBOXX GBP CORPORATE BOND GBP 9.08 6 (9) - *
DB X-TRACKERS 8.81 7 (6) - -
ISHARES FTSE EPRA/NAREIT DEVELOPED MARKETS PROPERTY YIELD GBP 7.44 8 (7) - *
ISHARES FTSE EPRA/NAREIT UK PROPERTY GBP 7.21 9 (8) - *
ISHARES BARCLAYS £ INDEX LINKED GILTS GBP 2.82 10 (-) - *
Total107.67 
Regional weightings, 31-Jan-2013
Region(%)RankPrev 
Global Emerging Markets29.901(1) 29.90% Global Emerging Markets
Real Estate/REITs & Commodities23.462(2) 23.46% Real Estate/REITs & Commodities
North America16.753(3) 16.75% North America
International11.904(4) 11.90% International
UK7.705(5) 7.70% UK
Europe5.246(6) 5.24% Europe
Japan2.347(7) 2.34% Japan
Asia Pacific ex Japan1.708(8) 1.70% Asia Pacific ex Japan
Money Market1.019(9) 1.01% Money Market
Total100.00 

All prices in Pence Sterling (GBX) unless otherwise specified. Price total return performance figures are calculated on a bid price to bid price basis (mid to mid for OEICs) with net income (dividends) reinvested. Performance figures are shown in Sterling unless otherwise specified.

 
 
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Asset allocation

Global Emerging Market Equities, 18.40%
18.4000% ofGlobal Emerging Market Equities
North American Equities, 16.75%
16.7500% ofNorth American Equities
Property, 14.65%
14.6500% ofProperty
Global Emerging Market Fixed Interest, 11.50%
11.5000% ofGlobal Emerging Market Fixed Interest
Global Corporate Fixed Interest, 9.08%
9.0800% ofGlobal Corporate Fixed Interest
Commodity & Energy, 8.81%
8.8100% ofCommodity & Energy
European Equities, 5.24%
5.2400% ofEuropean Equities
UK Gilts, 4.99%
4.9900% ofUK Gilts
Global Index Linked, 2.82%
2.8200% ofGlobal Index Linked
UK Equities, 2.71%
2.7100% ofUK Equities
Japanese Equities, 2.34%
2.3400% ofJapanese Equities
Asia Pacific ex Japan Equities, 1.70%
1.7000% ofAsia Pacific ex Japan Equities
Money Market, 1.01%
1.0100% ofMoney Market

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