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SNB Capital Global Equity Fund

International Equity Funds

Essential Fund Resources

Fund Prices

0.42 MB

Semi Annual Report

1.70 MB

Terms & Conditions

0.51 MB

Annual Report

3.19 MB

Factsheet

0.24 MB

Disclosures

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SNB Capital Global Equity Fund

The Fund’s objective is to provide long term capital growth through investment in shares of American companies and ETFs listed on the Global Capital Markets.

Principal Investment Strategies

The Fund shall mainly invest in shares and ETFs listed on the Global Capital Markets in an aim to achieve a better performance than the MSCI ACWI Index performance. The Fund investment strategy shall depend on (i) the overweight and underweight of certain markets and sectors included in the Index by assessing investment opportunities based on research outcomes and trends of these markets, countries and regions; and (ii) the overweight and underweight of stocks included in the benchmark index to explore growth opportunities while taking into account the reasonable diversification of the Fund’s investments compared to the benchmark index.

Fund's Key Details

Fund Currency
USD
Risk Category
High-Risk
Benchmark
MSCI AC World Index
Objective
The Fund’s objective is to provide long term capital growth through investment in shares of American companies and ETFs listed on the Global Capital Markets.
Minimum Subscription
USD 2,000
Minimum Subsequent Subscription
USD 1,000
Valuation Days
Monday and Wednesday each week.
Dealing Days
Monday and Wednesday each week.
Subscription Days
Business Days.
Subscription Request cut off time
12 p.m. on the Business Day preceding the relevant Dealing Day.
Subscription Fee
Not Applicable.
Management Fee
0.75% of NAV p.a.
Other expenses
Not expected to exceed 1.75% of the NAV, and shall be calculated on each Valuation Day. Furthermore, the overall limit of the fees and expenses (i.e. 1.75% of the NAV) that are payable from the Fund applies also to all of the fees and expenses save for the management and custody fees as well as dealing and borrowing expenses
Offer Date
September 2011.
Initial Unit Price
USD 10.

Principal Risks of Investing in the Fund

  • The Fund is suitable for an investor who seeks capital growth and income generation and at the same time is willing to accept the high risks associated with equity markets generating potential returns on a long-term basis. However, the Fund is subject to high market volatility (due to the composition of its portfolio) and, as a result, the Unit price may rise or fall, and upon redemption, the Unitholder may not be able to recover all or any of the principal invested amount.

  • Past performance of the Fund or past performance of the Index is not an indicator of the future performance of the Fund.

  • There is no guarantee that the Fund’s absolute performance or its performance relative to the Index will repeat or match past performance.

  • Investment in the Fund is not equivalent to making a deposit with a bank.

  • Investors are hereby at risk that they may lose some or all of the money they invest in the Fund. Furthermore, Investor’s investments in the Fund shall not constitute guaranteed liabilities of the Fund Manager or any affiliate or subsidiary, but shall be subject to the investment risks. The Fund Manager shall not be liable for any claim(s) whatsoever, for any lost opportunity or any actual loss that may be incurred by the Investor, except in case of the wilful default or gross negligence of the Fund Manager, subject always to the risks set out in this Information Memorandum

 

For more information on the Fund’s investment strategies please refer to the Terms & Conditions.