Fund Profile
Investors Pacific Int'l Class-B
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Fund Sponsor: Investors Group
Portfolio Manager: I.G. Investment Management Ltd.
Fund Type: Open-Ended

Asset Class: Asia Pacific ex-Japan Equity
RRSP Eligible: Yes

Inception Date: July, 2003
Total Assets: n/a
Sales Fee Type: No Load
Mgmt Expense Ratio (MER): 2.87%
Closed: No

Min. Invest (initial):
Subsequent: $50.00
Min. Invest (initial RRSP):
Subsequent RRSP: $50.00
Restricted: Yes
(Only for specific min investment-See prospectus for details)


Statistics


As of November 20, 2009

Current Price: $16.33
Daily Change $: $0.16
1 day: 0.96%
7 day: 2.09%
Month-to-Date: 4.62%
30 day: 1.11%
Year-to-Date: 38.89%

Returns as of October 31, 2009
Fund Group Avg Index*
1 month -0.24% -0.66% 0.86%
3 month 5.44% 4.00% 14.30%
6 month 21.50% 21.84% 35.41%
1 year 35.46% 36.65% 46.73%
3 year 1.70% 2.87% 4.60%
5 year 8.11% 9.14% 10.52%
10 year n/a 3.04% 7.00%
15 year n/a 2.64% 5.10%
20 year n/a n/a 9.12%
Since Inception 8.11% n/a n/a
3 year risk 23.67 23.13 22.44
3 year beta 0.98 0.91 1.00
* Index refers to MSCI Pacific, ex-Japan ($ Cdn)

Top Holdings as of Aug 31, 2009
 
Keppel Corporation Ltd.       -
HONG KONG AIRCRAFT ENGR       -
BHP Billiton Limited       -
China Resources Power Holdings       -
Swire Pacific Limited 'A'       -
CHINA MOBILE       -
Hyundai Mobis       -
Samsung Electronics Co.       -
Hyundai Marine & Fire Insuranc       -
BANK OF EAST ASIA       -
Extras

Charting
Review and compare the current price and performance of all Investors Group

Fund Report
Review and compare the current price and performance of all Investors Group


Investment Objectives
The Fund aims to provide long-term capital growth by investing primarily in the common shares of corporations in Asian and Pacific countries, excluding Japan. The Fund needs the approval of a majority of its investors to change its investment objective who vote at a meeting held for this purpose, unless we are required by law to make the change.

Portfolio Composition

Asset Allocation
as of Aug 31, 2009

Sector Weightings
as of Aug 31, 2009

Stock    96.21%
Cash and Short Term Securities    2.80%
Other    0.99%
Industrials 24.25%
Other sectors 23.82%
Consumer Discretionary 13.11%
Financials 12.10%
Materials 8.10%
Energy 6.84%
Information Technology 6.48%
Health Care 1.17%
Consumer Staples 0.28%
Utilities 0.06%
Other 3.79%

Geographic Composition
as of Aug 31, 2009

Australia    21.41%
Hong Kong    16.92%
South Korea    13.74%
China    12.62%
Taiwan    10.41%
India    4.36%
Singapore    3.42%
Cayman Islands    2.87%
Indonesia    2.38%
Other 11.87%

Portfolio Manager(s)

Tim Leung, B.Sc., CFA Manager
I.G. International Management (H.K.) Ltd.
Start Date: July, 2003
Fund Return: 6.69%
Tim joined I.G. Investment Management from Carlson Investment Management Far East Ltd. He has over 10 years of experience in Asian investment management. Tim is a CFA and completed his Bachelor of Social Science in economics at the University of Hong Kong in 1987.
Also manages: Investors Glo Infrastructure Cls-A, Investors Glo Natural Resource Cl-A, Investors Pacific Int'l Class A, Investors Pacific International-A
  

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