Key dataNAVPerformanceDistributionPublication
AMC PROFESSIONAL FUND - AMC Pro Active US B
| Value No : |
2576236 |
| ISIN No : |
CH0025762367 |
| Ticker Bloomberg : |
AMCPAUB SW |
Fund’s investment objective
The objective for the AMC Pro Active US sub-fund is to secure medium-term capital growth by implementing an active management method developed by BCV’s Asset Management (AM). This sub-fund is averagely diversified investing in US stocks selected according to a quantitative model. Investments are chosen using a sophisticated technique based on price momentum. This sub-fund can offer investors an innovative feature. The investment regime can be shifted into reverse during some periods. In such phases, investments for the portfolio will be made using a contrarian approach to share price momentum. Moreover, if the sub-fund’s quantitative model detects that equity markets are sliding steeply or for a long spell, the portfolio can be part-invested in fixed-income products. The make-up of the sub-fund is reviewed on a weekly basis.
Suitable investment volume: CHF 5m - CHF 30m
| Fund’s domicile : |
Switzerland |
| Portfolio Manager : |
BCV Asset Management |
| Launch date : |
1 June 2006 |
| Launch price : |
USD 100.00 |
| Close of financial year : |
31 March |
Management fee : |
0.90% |
| TERau 30.09.2008: |
0.91% |
| Affidavit eligibility : |
Yes |
| Benchmark : |
FTSE US NR |
| Investment area : |
USA |
| EU withholding tax on CH distribution : |
OUT |
| EU withholding tax on CH redemption : |
OUT |
| TIS CH : |
0 |
| TIS EU : |
0.0300 |
| Frequency of NAV calculations: |
Daily |
| Net asset value on
07.09.2010: |
USD 66.66 |
| YTD performance on
07.09.2010: |
0.08 % |
| Fund’s assets on
07.09.2010 : |
USD 33'635'262.16 |
| Year-high NAV
2010 : |
USD 76.73 |
| Year-low NAV
2010 : |
USD 62.63 |