momentum harmony funds
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1 momentum harmony funds fund brochure global investment management
2 Fund range The fund range consists of eight multi-asset, multi-manager funds diversified across local and global investments, asset classes, currencies, managers and styles. The portfolio managers tactically allocate assets on a dynamic basis to provide investors with a choice of a regional focus and risk / return profile best suited to their particular investment circumstances. These views are implemented using best of breed fund managers from around the world, as well as passive strategies where appropriate. The funds offer a number of key attributes: Regional choice decide from a range of five geographical investment biases. The funds have a strong regional focus complemented by global diversification. Risk / return choice decide from a balanced or a growth risk profile. Choice of currency decide from a range depending on your preference (USD, GBP, AUD, EUR, SGD). Daily dealing and highly liquid underlying investments. Easy access available on a wide range of Global Investment Platforms including regular premium products. Investment philosphy and process The fund range is managed by Momentum Global Investment Management from their base in London. Their multi-asset investment philosophy is built on three core capabilities: Asset allocation Best of breed fund selection Portfolio construction Asset allocation Identify most attractive strategies Manager selection Portfolio construction Appoint external specialists for each asset class Construct optimal portfolio combining best ideas and strategies Funds Risk management/ operational due diligence Undertake risk management/due diligence on all positions and review Key differentiators Unique range of risk profiles, regional focus and currency base Combination of strategic and tactical asset allocation Dynamic use of best in class underlying managers Independent operational due diligence on underlying managers Use of active and passive funds including ETFs, for low cost index tracking. Page 2 of 8 global investment management momentum harmony funds 2015
3 Asset allocation This is the key driver of returns and accounts for more than 90% of the variability in portfolio performance over time; active asset allocation demonstrates the portfolio manager s real skill in adding value. Asset allocation is managed actively to take advantage of valuations and the economic outlook for each asset class. Our process focuses on the implementation of tactical views within a long term strategic framework. Portfolio construction The portfolio managers balance the risk and return characteristics of different asset classes as well as the styles of the different specialist managers and their particular biases in order to capture investment opportunities. Risk management Portfolio risk is managed throughout the investment process which is outlined in the previous illustration. Fund selection Momentum recognises that good fund managers can come from anywhere and no investment house has a monopoly on skill or talent. We utilise best of breed ideas from our in-house manager research team across each asset class. Fund details Risk profile Balanced Diversified Growth To balance capital preservation and capital growth, with a degree of capital preservation, To provide capital growth with a To provide capital growth, Objective with a reduced level of volatility reduced level of volatility with a reduced level of volatility Target market USA Asia UK Europe USA Asia UK Australia Currency USD/SGD GBP/SGD EUR/SGD USD/SGD GBP/SGD AUD/SGD Dealing Pricing Daily dealing across all funds Single priced, unitised UCITS IV fund structure global investment management momentum harmony funds 2015 Page 3 of 8
4 Regular premium product matrix Funds Skandia Momentum Hansard Generali Friends Standard Provident RL life Dubai Standard Life Hong Kong Standard Life Singapore Dealing date Purchase direct US Dollar Growth Sterling Growth US Dollar Balanced Sterling Balanced Europe Diversified Asian Growth Asian Balanced Australian Dollar Growth USD: GBP: Euro: HKD: USD: GBP: Euro: HKD: USD: GBP: Euro: HKD: USD: GBP: Euro: HKD: USD: GBP: Euro: HKD: USD: GBP: Euro: HKD: USD: GBP: Euro: HKD: MC145 S U286 U286 Daily Yes MB52 S P284 P284 Daily Yes MC144 S234 U285 U285 Daily Yes MB51 S236 P283 P283 Daily Yes S262 E282 E282 Daily Yes S U280 U280 Daily Yes S260 U279 U279 Daily Yes A281 A281 Daily Yes IDMS Daily Yes Lump sum investments The fund range can be accessed through a wide range of global platforms for lump sum investing including the platforms in the table above. Page 4 of 8 global investment management momentum harmony funds 2015
5 Fund identifiers funds ISIN Tickers US Dollar Balanced A LU MGFUSBA LX US Dollar Balanced B LU MGHUSBB LX US Dollar Balanced C LU MGFUSBC LX US Dollar Balanced D LU MGHUSBD LX US Dollar Balanced E LU MGHUSBE LX US Dollar Balanced G LU To be launched US Dollar Growth A LU MGFUSGA LX US Dollar Growth B LU Requested US Dollar Growth C LU MGFUSGC LX US Dollar Growth D LU MGFUSGD LX US Dollar Growth E LU MGFUSGE LX US Dollar Growth G LU MGFUSGG LX Sterling Balanced A LU MGFSTBA LX Sterling Balanced B LU MGFSTBB LX Sterling Balanced C LU MGFSTBC LX Sterling Balanced D LU MGFSTBD LX Sterling Balanced E LU MGFSTBE LX Sterling Balanced G LU To be launched Sterling Growth A LU MGFSTGA LX Sterling Growth B LU MGFSTGB LX Sterling Growth C LU MGFSTGC LX Sterling Growth D LU MGFSTGD LX Sterling Growth E LU MHRGRWE LX Sterling Growth G LU MHRGRWG LX Australian Dollar Growth A LU MGFADGA LX Australian Dollar Growth B LU To be launched Australian Dollar Growth C LU MGFADGC LX Australian Dollar Growth D LU MGFHAGD LX Australian Dollar Growth E LU MGFHAGE LX Australian Dollar Growth G LU To be launched Page 5 of 8 global investment management momentum harmony funds 2015
6 Fund identifiers (continued) funds ISIN Tickers Asian Balanced A LU MGFASBA LX Asian Balanced B LU MGFASBB LX Asian Balanced C LU MGFASBC LX Asian Balanced D LU MGFASBD LX Asian Balanced E LU MGFASBE LX Asian Balanced G LU To be launched Asian Growth A LU MGFASGA LX Asian Growth B LU MGFASGB LX Asian Growth C LU MGFASGC LX Asian Growth D LU MGFASGD LX Asian Growth E LU MGFASGE LX Asian Growth G LU To be launched Europe Diversified A LU MGFEUBA LX Europe Diversified B LU To be launched Europe Diversified C LU MGFEUBC LX Europe Diversified D LU MGFEUBD LX Europe Diversified E LU MGFEUBE LX Europe Diversified G LU To be launched Page 6 of 8 global investment management momentum harmony funds 2015
7 Fund structure Promoter - Momentum Global Investment Management Investment manager and global distributor Momentum Global Investment Management Management company RBS Luxembourg Depositary and administrator JP Morgan Luxembourg Sub-distributor Easton Asset Management Auditors Pricewaterhouse Coopers Regulator - CSSF Luxembourg About Momentum Global Investment Management Momentum Global Investment Management was established in the UK in 1998 as the international investment and asset management arm of MMI Holdings Ltd. As with any growing business, we have evolved with the times and the ever-changing investment landscape, developing into an investment-driven business that focuses on tailored products and solutions for a diverse client base. Our clients and partners span institutions, corporates, wealth managers and professional advisors in our key geographical target markets: Asia and the Middle East, the UK and Europe, the United States and South Africa. About the MMI Group Momentum Global Investment Management is a wholly owned subsidiary of the MMI Group. As at 31 December 2014 MMI Holdings Ltd: is a leading life insurance and investment group in South Africa and Africa, employing more than 17,900 people manages assets of USD 49.5 billion, with more than 670 employees engaged in its investment businesses is well known for its product innovation, outstanding service delivery, and commitment to independent financial advice is listed on the Johannesburg Stock Exchange as MMI Holdings, with a market capitalisation of circa USD 4.2 billion. global investment management momentum harmony funds 2015 Page 7 of 8
8 Contact details If you would like any additional information on the fund range, please contact: Distribution: Operational and service queries: For direct dealing: Cameron Knox Russell Andrews Momentum Global Funds Head of Distribution Services 6 Route de Treves and crknox64@gmail.com Momentum Global Investment Management Senningerberg, L-2633 T: russell.andrews@momentumgim.com Luxembourg For further information: T: +44 (0) Important notes Momentum Global Investment Management is the trading name for Momentum Global Investment Management Limited. This document does not constitute an offer or solicitation to any person in any jurisdiction in which it is not authorised or permitted, or to anyone who would be an unlawful recipient, and is only intended for use by original recipients and addressees. The original recipient is solely responsible for any actions in further distributing this document, and should be satisfied in doing so that there is no breach of local legislation or regulation. The information is intended solely for use by our clients or prospective clients, and should not be reproduced or distributed except via original recipients acting as professional intermediaries. This document is not for distribution in the United States. Prospective investors should inform themselves and if need be take appropriate advice regarding applicable legal, taxation and exchange control regulations in countries of their citizenship, residence or domicile which may be relevant to the acquisition, holding, transfer, redemption or disposal of any investments herein solicited. Any opinions expressed herein are those at the date this material is issued. Data, models and other statistics are sourced from our own records, unless otherwise stated herein. We believe that the information contained is from reliable sources, but we do not guarantee the relevance, accuracy or completeness thereof. Unless otherwise provided under UK law, Momentum Global Investment does not accept liability for irrelevant, inaccurate or incomplete information contained, or for the correctness of opinions expressed. We caution that the value of investments in discretionary accounts, and the income derived, may fluctuate and it is possible that an investor may incur losses, including a loss of the principal invested. Past performance is not generally indicative of future performance. Investors whose reference currency differs from that in which the underlying assets are invested may be subject to exchange rate movements that alter the value of their investments. Our investment mandates in alternative strategies and hedge funds permit us to invest in unregulated funds that may be highly volatile. Although alternative strategies funds will seek to follow a wide diversification policy, these funds may be subject to sudden and/or large falls in value. The illiquid nature of the underlying funds is such that alternative strategies funds deal infrequently and require longer notice periods for redemptions. These Investments are therefore not readily realisable. If an alternative strategies fund fails to perform, it may not be possible to realise the investment without further loss in value. These unregulated funds may engage in the short selling of securities or may use a greater degree of gearing than is permitted for regulated funds (including the ability to borrow for a leverage strategy). A relatively small price movement may result in a disproportionately large movement in the investment value. The purpose of gearing is to achieve higher returns associated with larger investment exposures, but has concomitant exposure to loss if positive performance is not achieved. Reliable information about the value of an investment in an alternative strategies fund may not be available (other than at the fund s infrequent valuation points). Under our multi-management arrangements, we selectively appoint underlying sub-investment managers and funds to actively manage underlying asset holdings in the pursuit of achieving mandated performance objectives. Annual investment management fees are payable both to the multimanager and the manager of the underlying assets at rates contained in the offering documents of the relevant portfolios (and may involve performance fees where expressly indicated therein). Momentum Global Investment Management Limited (Company Registration No ) registered office at The Rex Building, 62 Queen Street, London, EC4R 1EB. Momentum Global Investment Management Limited is authorised and regulated by the Financial Conduct Authority in the United Kingdom, and is an authorised Financial Services Provider pursuant to the Financial Advisory and Intermediary Services Act 37 of 2002 in South Africa. Momentum Global Investment Management Limited 2015 Momentum Global Investment Management Limited Momentum Global Investment Management Limited (Company Registration No ) has its registered office at The Rex Building, 62 Queen Street, London, EC4R 1EB. Momentum Global Investment Management Limited is authorised and regulated by the Financial Conduct Authority in the United Kingdom, and is an authorised Financial Services Provider pursuant to the Financial Advisory and Intermediary Services Act 37 of 2002 in South Africa.
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