Man GLG Continental European Growth

Man GLG Continental European Growth C Professional

  • FE Crown Rating: 5
  • FE Manager Rating:
  • Trustnet Direct 100:
    1year Growth
Man GLG Continental European Growth C Professional 32.4%
Europe Excluding UK
32.5%
  (Benchmark)  
0 150+
91
106

FE RISK SCORE

 
1year
3year
1st Quartile
 
 
2nd Quartile
 
 
3rd Quartile
 
 
4th Quartile
 
 

FUND RANKING

Currency: GBX
Mid: 528.10
Change: 5.90
Yield: 0.35%

PRICE

Initial Charges: 0.00%
Annual Mgt. Charge: 0.75%
Ongoing Charges Figure: 0.90%
ISA: SIPP:

CHARGES

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2a
PAST PERFORMANCE: FUND VS SECTOR
1b
FUND MANAGER CLOSE
    Rory Powe 01-Oct-2014 to Present
    Manager Picture

    Rory Powe

    +25.1%

    Fund annualised total return over 2.7 years

    Manager Picture

    Sandy Rattray

    +11.5%

    Fund annualised total return over 5.3 years

    Manager Picture

    Fabrice Bay

    +33.9%

    Fund annualised total return over 0.8 years

    Manager Picture

    Khalil Mohammed

    -8.8%

    Fund annualised total return over 0.5 years

    Manager Picture

    Craig Harper

    -13.9%

    Fund annualised total return over 2.0 years

    Rory is a long-only Portfolio Manager focusing on European growth stocks, and joined Man GLG (‘GLG’) in July 2014. Prior to this, he founded Powe Capital Management in 2001 and for 12 years managed its European ...

    Sandy Rattray is the CEO of AHL & MSS and is also a member of the Man Executive Committee. Prior to this he was the CIO of Man Systematic Strategies, created in 2010 to develop new systematic strategies at the f...

    Fabrice has 16 years experience in portfolio management and investment research. He joined GLG in August 2008 to lead the Consumer Team and co-manage the GLG Capital Appreciation Fund. Prior to this, Fabrice wor...

    FULL DETAILS
  • +25.1%

    Fund annualised total return over 2.7 years

    Rory Powe - Primary Manager Managed this fund 01-Oct-2014 to Present

    +11.5%

    Fund annualised total return over 5.3 years

    Sandy Rattray Managed this fund 01-Jun-2009 to 30-Sep-2014

    +33.9%

    Fund annualised total return over 0.8 years

    Fabrice Bay Managed this fund 01-Jun-2009 to 31-Mar-2010

    -8.8%

    Fund annualised total return over 0.5 years

    Khalil Mohammed Managed this fund 01-Jan-2009 to 30-Jun-2009

    -13.9%

    Fund annualised total return over 2.0 years

    Craig Harper Managed this fund 01-Jun-2007 to 15-May-2009

    +27.6%

    Fund annualised total return over 0.8 years

    Stuart Gilmartin Managed this fund 01-Aug-2006 to 31-May-2007

    +19.3%

    Fund annualised total return over 3.7 years

    Matthew Leeman Managed this fund 01-Nov-2002 to 31-Jul-2006

    n/a

    Fund annualised total return over 6.2 years

    Stuart Gilmartin Managed this fund 01-Jan-2000 to 28-Feb-2006

    n/a

    Fund annualised total return over 2.3 years

    Dino Fuschillo Managed this fund 01-Jan-2000 to 18-Apr-2002
SUMMARY DETAILS
 
4d
FUND OBJECTIVES & COMPANY INFO
The objective of the Fund is to achieve above average long - term capital growth through investing, directly or indirectly, in the quoted securities of companies listed on European Stock Exchanges.
Investment Objectives
The objective of the Fund is to achieve above average long - term capital growth through investing, directly or indirectly, in the quoted securities of companies listed on European Stock Exchanges.

Contact Details
One Curzon Street, London W1J 5HB, United Kingdom
0808 100 2543 (Main Number)

welcome@man.com
MORE & FULL COMPANY INFORMATION
5e
PORTFOLIO BREAKDOWN & HISTORY
  Name Total% Rank (Prev)
 
RYANAIR HLDGS
6.40 1 1
 
PANDORA AS
5.96 2 2
 
MONCLER SPA
5.45 3 4
  Name Total% Rank (Prev)
 
Consumer Discretiona...
32.42 1 2
 
Industrials
27.63 2 1
 
Information Technolo...
13.51 3 3
 NameTotal%Rank(Prev)
 
Irish Equities
16.09 1 1
 
Italian Equities
14.24 2 5
 
French Equities
12.60 3 4
 NameTotal%Rank(Prev)
 
Ireland
16.09 1 1
 
Italy
14.24 2 5
 
France
12.60 3 4
Top 10 Holdings
 NameTotal%Rank(Prev)
 
RYANAIR HLDGS
6.40 1 1
 
PANDORA AS
5.96 2 2
 
MONCLER SPA
5.45 3 4
 
CHR HANSEN HLDGS A/S
5.44 4 3
 
ASML Holding NV
4.59 5 5
 
YOOX NET-A-PORTER GR...
4.33 6 8
 
GLANBIA
3.99 7 7
 
ABCAM
3.90 8 10
 
VAT GROUP AG
3.64 9 -
 
LOOMIS AB
3.60 10 9
TOTAL47.30  
Top 10 Sectors
 SectorTotal%Rank(Prev)
 
Consumer Discretiona...
32.42 1 2
 
Industrials
27.63 2 1
 
Information Technolo...
13.51 3 3
 
Health Care
13.14 4 4
 
Materials
5.44 5 5
 
Consumer Staples
3.99 6 6
 
Financials
2.08 7 7
 
Money Market
1.80 8 8
    
    
TOTAL100.01  
Top 10 Assets
 AssetTotal%Rank(Prev)
 
Irish Equities
16.091 1
 
Italian Equities
14.242 5
 
French Equities
12.603 4
 
Danish Equities
12.384 3
 
Swedish Equities
12.125 2
 
Swiss Equities
9.046 6
 
Spanish Equities
5.617 11
 
German Equities
4.928 8
 
Dutch Equities
4.599 7
 
Other Holdings
8.41- -
TOTAL100.00  
Top 10 Regions
 RegionsTotal%Rank(Prev)
 
Ireland
16.091 1
 
Italy
14.242 5
 
France
12.603 4
 
Denmark
12.384 3
 
Sweden
12.125 2
 
Switzerland
9.046 6
 
Spain
5.617 10
 
Germany
4.928 8
 
Netherlands
4.599 7
 
UK
3.9010 9
TOTAL95.49  
SHOW ALL
7f 5e
KEY STATISTICS
Fund Type: United Kingdom UK Open Ended I... Minimum Investment: £100
Launched: 30-Jun-1998 Minimum Regular Investment: £20
Fund size: £625.5m / $810.6m (28-Apr-17) Dealing Charge: £10 or £6 for frequent traders
Dealing Frequency: Daily Initial Charge: 0.00%
Dealing Time: n/a Annual management charge: 0.75%
Price Times: 12:00 Daily Note to charges: n/a
Fund Type: United Kingdom UK Open Ended Investment Company (OEIC)
Launched: 30-Jun-1998
Fund size: £625.5m / $810.6m (28-Apr-17)
Dealing Frequency: Daily
Dealing Time: n/a
Price Times: 12:00 Daily
Trustee / Depositary: Royal Bank of Scotland Plc
Registrar: GLG Partners Investment Funds Ltd.
Minimum Investment: £100
Minimum Regular Investment: £20
Dealing Charge £10 or £6 for frequent traders ?
Initial Charge: 0.00%
Annual management charge: 0.75%
Note to charges: n/a
Dividend Policy: Jun 01 (Final)
Multi-manager: n/a
Index: FTSE Europe ex UK
ISA: ISA Wrapper
Savings plan: Savings Plan
CAT Standard: CAT Standard
ISIN: GB00B0119487
Sedol: B011948
SHOW ALL
8g
RATIOS
1year 3year
Volatility 8.43 9.96
Alpha 10.18 12.41
Beta 0.66 0.75
Sharpe 2.94 1.73
InfoRatio 0.30 1.52
RSquared 0.69 0.66
QUARTILES KEY:
1st 2nd 3rd 4th

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