|3 months||1 year||3 years||5 years||Since inception p.a.|
|Global Dynamic Equity(1)||31-Jul-00||5.1||5.2||21.1||18.6||8.1||7.4||11.5||10.2||6.8||4.0|
|Global Strategic Equity(1)||31-Dec-99||7.7||5.2||23.5||18.6||8.9||7.4||13.7||10.2||8.7||3.5|
|Global Endurance Equity(2)||31-Jul-12||3.4||5.2||16.3||18.6||7.1||7.4||11.3||10.2||11.8||11.0|
|Emerging Markets Equity(3)||31-Mar-10||8.9||7.9||26.3||22.5||6.6||4.9||6.7||4.0||6.6||3.4|
|UK Equity Alpha (6)||31-Jan-15||4.7||5.5||17.6||15.6||N/A||N/A||2.3||N/A||4.8||3.8|
|Global Diversified Growth(7)||31-Dec-99||2.8||1.7||11.1||6.9||5.0||6.1||6.5||6.2||5.4||7.2|
|Emerging Markets Multi-Asset(8)||31-Dec-11||6.9||5.5||18.0||14.0||3.1||4.3||2.9||3.1||4.6||4.9|
|Global Strategic Managed(9)||31-Dec-99||4.4||3.8||13.5||9.7||6.9||4.9||8.8||6.0||6.7||4.5|
|Global Multi Asset Income||31-May-13||1.4||0.2||5.3||0.6||5.2||0.3||N/A||N/A||5.2||0.2|
|Emerging Market Fixed Income|
|Emerging Markets Local Currency Debt(11)||31-Jul-06||4.2||3.6||9.2||7.3||0.0||0.3||-1.0||-0.9||6.4||5.6|
|Emerging Markets Blended Debt(12)||31-Dec-10||4.0||3.0||9.4||6.2||4.0||3.2||2.3||2.0||3.9||3.7|
|Emerging Markets Corporate Debt(13)||30-Apr-11||3.5||2.1||8.7||5.8||6.7||5.6||6.5||5.0||6.9||5.6|
|Emerging Markets Local Currency Total Return Debt(14)||31-Dec-13||3.4||3.6||8.1||7.3||1.8||0.3||N/A||N/A||2.0||0.2|
|Asia Local Currency Bond(15)||31-Dec-13||1.3||1.6||-1.0||0.3||1.5||2.3||N/A||N/A||2.5||3.0|
|All China Bond(16)||31-May-11||3.9||3.5||-1.0||2.8||4.1||1.4||4.7||2.4||5.2||2.8|
|Onshore Renminbi Bond(17)||31-Jul-15||2.5||2.4||-0.7||-1.1||N/A||N/A||N/A||N/A||-0.2||-0.5|
|Global Natural Resources(18)||29-Feb-08||10.6||11.0||11.1||18.2||-3.1||-1.2||-1.8||-0.2||-0.4||-1.5|
|Strategy||IAM Gross||Index %||IAM Gross||Index %||IAM Gross||Index %||IAM Gross||Index %||IAM Gross||Index %||IAM Gross||Index %|
|Global Dynamic Equity(1)||19.9||16.1||29.1||22.8||2.2||4.2||1.1||-2.4||2.7||7.9||19.6||19.7|
|Global Strategic Equity(1)||21.8||16.1||30.9||22.8||8.0||4.2||-0.5||-2.4||5.3||7.9||22.2||19.7|
|Global Endurance Equity(2)||N/A||N/A||28.3||22.8||5.9||4.2||-0.2||-2.4||3.3||7.9||17.3||19.7|
|Emerging Markets Equity(3)||20.3||18.2||4.4||-2.6||-1.0||-2.2||-13.8||-14.9||8.3||11.2||33.2||32.3|
|UK Equity Alpha(6)||N/A||N/A||N/A||N/A||N/A||N/A||N/A||-7.9||-2.1||20.5||18.0|
|Global Diversified Growth(7)||8.7||6.7||12.0||6.5||5.7||5.8||0.6||5.7||2.1||7.1||10.3||6.5|
|Emerging Markets Multi-Asset(8)||17.8||17.9||-1.9||-4.8||-1.0||-0.7||-13.8||-11.0||5.3||10.8||24.7||20.8|
|Global Strategic Managed(9)||13.5||10.3||19.0||11.4||2.0||2.3||-0.2||-2.6||6.7||5.5||14.4||14.0|
|Multi-Asset Credit (10)||N/A||N/A||N/A||N/A||N/A||N/A||N/A||N/A||11.4||5.8||6.6||5.2|
|Global Multi Asset Income||N/A||N/A||N/A||N/A||5.5||0.1||2.8||0.1||6.2||0.3||5.6||0.6|
|Emerging Market Fixed Income|
|Emerging Markets Local Currency Debt(11)||18.6||16.8||-9.5||-9.0||-4.6||-5.7||-16.0||-14.9||8.1||9.9||16.1||11.1|
|Emerging Markets Blended Debt(12)||18.6||16.9||-7.4||-6.5||0.7||0.3||-7.4||-7.1||10.0||10.1||13.9||9.9|
|Emerging Markets Corporate Debt(13)||18.9||15.0||0.6||-0.6||5.7||5.0||-0.8||1.3||13.2||9.7||10.4||7.6|
|Emerging Markets Local Currency Total Return Debt(14)||N/A||N/A||N/A||N/A||-1.1||-5.7||-10.4||-14.9||6.8||9.9||13.8||11.1|
|Asia Local Currency Bond(15)||N/A||N/A||N/A||N/A||4.4||4.4||-3.3||-3.2||0.2||1.6||8.4||8.3|
|All China Bond(16)||11.8||4.9||3.8||5.6||4.2||0.3||-0.2||-2.6||-0.3||-1.5||12.6||9.2|
|Onshore Renminbi Bond(17)||N/A||N/A||N/A||N/A||N/A||N/A||N/A||N/A||-4.7||-4.6||5.3||3.4|
|Global Natural Resources(18)||1.6||6.8||0.1||2.0||-10.1||-12.4||-29.0||-27.1||38.0||33.9||3.5||13.2|
Past performance is not a reliable indicator of future results, losses may occur.
Source: Investec Asset Management, 30 September 2017. For further information on indices please see below and also the Important information section.
1MSCI AC World NDR (pre Jan-11, MSCI World NDR)
1MSCI AC World NDR (pre Jan-11, MSCI World NDR)
2MSCI ACWI World NDR
3MSCI Emerging Markets NDR
4MSCI Europe NDR
5MSCI ACWI World NRD (pre Oct-11, MSCI World NDR)
7US CPI +5%
850% MSCI Emerging Market, 25% JP Morgan EMBI Global Diversified (represents EM Hard Currency Debt), 25% JP Morgan
GBI – EM Global Diversified (represents EM Local Currency Debt)
960% MSCI AC World NDR/40% Citigroup WGBI (pre Jan-11, 60%MSCI Wld N/40%WGBI; pre Jul-05, 50%MSCI Wld N/50%WGBI)
103M Libor +5% p.a.
11Overnight USD LIBOR
12JP Morgan GBI – EM Global Diversified
1350% JP Morgan GBI-EM Global, 30% EMBI
14JP Morgan CEMBI Broad Diversified
15JP Morgan GBI – EM Global Diversified
16JADE Broad Diversified (pre May-16 HSBC Asia Local Bond Index Overall)
17HSBC Offshore RMB Overall TR (pre Jan-15, CNH 12 Month Deposit)
18HSBC China Local Currency Bond Index
19MSCI ACWI Select Natural Resources Capped Index
The information may discuss general market activity or industry trends and is not intended to be relied upon as a forecast, research or investment advice. The economic and market views presented herein reflect Investec Asset Management’s (‘Investec’) judgment as at the date shown and are subject to change without notice. The value of investments, and any income generated from them, can go down as well as up and will be affected by changes in interest rates, exchange rates, general market conditions and other political, social and economic developments, as well as by specific matters relating to the assets invested in.
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Any description or information regarding investment process or strategies is provided for illustrative purposes only, may not be fully indicative of any present or future investments and may be changed at the discretion of the manager without notice. References to specific investments, strategies or investment vehicles are for illustrative purposes only and should not be relied upon as a recommendation to purchase or sell such investments or to engage in any particular Strategy. Portfolio data is expected to change and there is no assurance that the actual portfolio will remain as described herein. There is no assurance that the investments presented will be available in the future at the levels presented, with the same characteristics or be available at all. Past performance is no guarantee of future results and has no bearing upon the ability of Manager to construct the illustrative portfolio and implement its investment strategy or investment objective.
The target is based on Manager’s good faith estimate of the likelihood of the performance of the asset class under current market conditions. There can be no assurances that any Strategy or Fund will generate such returns, that any client or investor will achieve comparable results or that the manager will be able to implement its investment strategy. Actual performance of investments and the Fund or Strategy overall may be adversely affected by a variety of factors, beyond the manager’s control, such as, political and socio-economic events, adverse changes in the interest rate environment, changes to investment expenses, and a lack of suitable investment opportunities. Accordingly, Performance Targets may be expected to change over time and may differ from previous reports.
Specific Portfolio Names
References to particular investment or strategies are for illustrative purposes only. Unless stated otherwise, the specific companies listed or discussed are included as representative of the Strategy or Strategies. Such references are not a complete list and other positions, strategies, or vehicles may experience results which differ, perhaps materially, from those presented herein due to different investment objectives, guidelines or market conditions. The securities or investment products mentioned in this document may not have been registered in any jurisdiction. More information is available upon request.
Indices are shown for illustrative purposes only, are unmanaged and do not take into account market conditions or the costs associated with investing. Further, the manager’s strategy may deploy investment techniques and instruments not used to generate Index performance. For this reason, the performance of the manager and the Indices are not directly comparable.
If applicable MSCI data is sourced from MSCI Inc. MSCI makes no express or implied warranties or representations and shall have no liability whatsoever with respect to any MSCI data contained herein. The MSCI data may not be further redistributed or used as a basis for other indices or any securities or financial products. This report is not approved, endorsed, reviewed or produced by MSCI. None of the MSCI data is intended to constitute investment advice or a recommendation to make (or refrain from making) any kind of investment decision and may not be relied on as such.If applicable FTSE data is sourced from FTSE International Limited (‘FTSE’) © FTSE 2017. Please note a disclaimer applies to FTSE data and can be found at www.ftse.com/products/downloads/FTSE_Wholly_Owned_Non-Partner.pdf