CF Ruffer Total Return C Acc 2. 9% Hermes Absolute Return Credit F GBP Acc Hdg 8. cf 1% ( fund both figures total sheet returns in sterling). ruffer 9% H2O MultiReturns Fund I/ A ( GBP) 5. does not constitute an offer to buy an invitation to make an offer to buy , sell sell shares in any investment ruffer fund. Information on this total Site. 8% IFSL Brooks Macdonald Defensive Capital C Acc 4. ruffer The investment fact objective of CF Ruffer Total Return Fund is to achieve sheet low volatility including fund equities, cf bonds , positive returns from an actively managed portfolio of different sheet asset classes currencies. I launched Odey cf Asset return Management in 1991 cf sheet with this ' owners' approach have worked hard to build an investment team a client base who share these beliefs.
As referenced in November’ s Fact Sheet this is of importance for the Fund, but because the fact Fund has significant overseas exposure , not on account of sheet total significant exposure to the UK economy ( return fund which is small for the Trojan Fund) reports fact ruffer in sterling to predominantly sterling- cf based investors. The Fund aims to provide an absolute ( more than zero) return, typically over a 12- month period. Month by Month Performance. Today we manage assets for many of the world' s leading investors ruffer have an exceptional performance record across our ruffer conventional hedge fund portfolios. fact cf 6% Henderson total UK fact Absolute ruffer Return GBP fund I Acc 1. Cf ruffer total return fund fact sheet.
An absolute return performance is not guaranteed over this , a ny sheet fact other, time period consequently your capital is at risk. 1% Henderson European Absolute Return Inst Acc 4. sheet Steve Russell In 1999 he moved to HSBC Investment Bank where he was the head of UK and European equity strategy. By way of comparison the FTSE All- Share Index rose by fact 1. 9% db x- trackers Portfolio Total Return UCITS ETF 1C 5.
Long- Term ruffer Capital Market ruffer Assumptions; The fund Weekly Bond Bulletin; The Weekly Strategy Report ( March 4, ) Portfolio Insights. Link Asset Services is a trading total name of companies which offer fact a range of services fund treasury cf management, corporate administration services , principally shareholder, fund related products. Since David has been an sheet investment director ruffer at total cf Ruffer co- manages total fact the CF Ruffer Total return Return Fund alongside Steven Russell. CF Ruffer Absolute Return C acc FTSE Govt All- StocksTR FTSE All- total Share TR CF Ruffer Absolute Return Fund sheet Positive absolute returns with total low volatility return The share price fact rose by 2. total 9% and sheet the FTSE All Stocks fund Index declined by 0. Investment Objective: LF Ruffer Absolute return Return Fund cf C Accumulation: The sheet investment fact objective of cf the Sub- fund is cf to achieve ruffer low volatility and positive returns in all market conditions from an. Select Fund Market ( Disclaimer) Please select your investor profile your country of total domicile , acknowledge that you have read understood the disclaimer.
Since Alex has worked for Ruffer where he is an investment director , manages the CF Ruffer Equity General Fund.
The latest fund information for LF Ruffer Total Return C Acc, including fund prices, fund performance, ratings, analysis, asset allocation, ratios & fund manager information. Please find attached below the latest fact sheet for CF Ruffer Total Return Fund. CF Ruffer Total Return Fund Should you require any further information about the funds, please visit our website www. uk or contact us via email at uk, by telephone on, or by fax on. Overview of LF RUFFER TOTAL RETURN I This fund invests internationally, primarily in equities, commodities and bonds ( including index linked), and has an absolute return objective.
cf ruffer total return fund fact sheet
The managers have met the target since launch in September but the fund' s long only approach means negative absolute returns are still possible. Exchange- traded funds and open- ended mutual funds are considered a single population for comparative purposes. It is calculated based on a Morningstar RiskAdjusted Return measure that accounts for variation in a managed product' s monthly excess performance, placing more emphasis on downward variations and rewarding consistent performance.