T REET O P G L O B A L OPPORTUNIT I E S

Similar documents
QUARTERLY REPORT 4Q 2018

QUARTERLY REPORT 4Q 2018

QUARTERLY REPORT 1Q 2017

QUARTERLY REPORT 3Q 2017

QUARTERLY REPORT 1Q 2018

Quarterly Report Perinvest Asia Dividend Equity 4Q 2018

Quarterly Report Perinvest Asia Dividend Equity 3Q 2016

Quarterly Report Perinvest Asia Dividend Equity 1Q 2018

Quarterly Report Perinvest Asia Dividend Equity 3Q 2017

Quarterly Report Perinvest Asia Dividend Equity 1Q 2016

P E R I N V E S T A S I A DIV I D E N D E Q U I T Y (USD)

T REET O P G L O B A L D Y N A M I C

T REET O P G L O B A L D Y N A M I C

YTD

YTD

3,07% 2,90% Annualized 4 MercLin II Pat R CAP MercLin II Pat C CAP. Annualized since inception 13,19%

Franklin Mutual Series. Franklin Templeton Investment Funds Franklin Mutual Euroland Fund - A(acc) EUR. Data as of December 31, 2014

Emerging Markets Equity. Franklin Templeton Investment Funds Templeton Asian Growth Fund - I (acc) USD. Data as of 31 August 2018

Luxembourg SICAV UCITS class. Registered office: 33 rue de Gasperich, L-5826 Hesperange Luxembourg Trade and Company Register No.

Templeton Global Fund A (Ydis) USD

COMMON TERMS OF MERGER

PARVEST. An open-ended investment company Incorporated under Luxembourg Law. Prospectus D E C E M B E R 2012

PRODUCT HIGHLIGHTS SHEET

AMG Managers Pictet International Fund Class N (APINX) Class I (APCTX ) Class Z (APCZX) September 2018

Invesco Funds, SICAV Product Key Facts

Invesco Funds, SICAV Product Key Facts. 8 October 2018

DWS Invest Top Dividend

Investec Asian Equity Fund

PARVEST Luxembourg SICAV UCITS category Registered office: 10 rue Edward Steichen, L-2540 Luxembourg Luxembourg Trade and Companies Register n B 33363

VAM INTERNATIONAL OPPORTUNITIES FUND E CLASS

BlackRock World Healthscience Fund A2 USD

Harmonisation of Fortis L Fund and Parvest For professional investors

HSBC Global Investment Funds - Economic Scale Global Equity

Simplified Prospectus

Templeton Global Macro. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of March 31, 2018

Goldman Sachs Funds SICAV

Dear sir or madam. 3. Effects of the Merger on the unitholders/shareholders of the Absorbed FCP and Absorbing Sub-fund

Invesco Funds, SICAV Product Key Facts. 18 March 2019

BlackRock Global Government Bond Fund A2 USD

HSBC Portfolios - World Selection 1

Scheme changes related to amendments/updates to the prospectus, Appendix A and Hong Kong Supplement (for Hong Kong investors) of Invesco Funds, SICAV.

Capital Group European Growth and Income Fund (LUX)

PRODUCT HIGHLIGHTS SHEET

Factsheet: Deutsche Invest I Global Thematic

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - I (acc) USD. Data as of 28 February 2019

REYL (Lux) GLOBAL FUNDS Luxembourg SICAV with multiple sub-funds

PRODUCT KEY FACTS Invesco Asia Infrastructure Fund A sub-fund of Invesco Funds (SICAV)

Vontobel Fund (CH) - Pension Invest Balanced I

TreeTop Portfolio SICAV

MARGIN OF SAFETY FUND

The protection expertise

Reality Shares DIVCON Leaders Dividend ETF LEAD (Cboe BZX Exchange)

Sector Equity

Global Equity

Level Two Investments

AVIVA INVESTORS LUXEMBOURG SICAV

Deutsche Invest I Top Dividend

The Luxembourg Fund industry Facts and Figures. 7 October, 2009

AMUNDI ETF MSCI EUROPE CONSUMER STAPLES UCITS ETF

Franklin Global Growth and Value Fund A (acc) USD

TreeTop Portfolio SICAV

Luxembourg SICAV UCITS class. Registered office: 10 rue Edward Steichen L-2540 Luxembourg Luxembourg Trade and Company Register No.

Product Key Facts BlackRock Global Funds

Monthly Fund update. Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data

Factsheet: Deutsche Invest I CROCI Sectors Plus

Navigating Emerging Market Turbulence

Sparinvest SICAV EM Corporate Value Bonds EUR R

JPMorgan Europe Strategic Dividend Fund

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of 30 November 2018

GLOBAL SPECIAL SITUATIONS FUND A - ACC SHARES 31 JULY 2018

ING Bank N.V. (NL) 5Y USD Participation Notes GOLD 09/23

Shareholder circular: Invesco India Equity Fund

Jonathan T. Curtis: John Scandalios, CFA: James Cross, CFA:

DWS Invest Global Agribusiness

BetaBuilders EUR Govt Bond 1-3 yr UCITS ETF

AllianceBernstein (Luxembourg) S.à r.l. Société à responsabilité limitée 2-4, rue Eugène Ruppert L-2453 Luxembourg R.C.S. Luxembourg B

ABN AMRO FUNDS - ASIAN TIGERS EQUITY FUND

HSBC Collective Investment Trust HSBC Asia Pacific ex Japan Equity Volatility Focused Fund

AXA WF Framlington Global Small Cap A EUR

Deutsche Invest I Euro High Yield Corporates

La Française LUX. A Luxembourg SICAV. Prospectus December la-francaise.com. December 2017 Prospectus. La Française LUX

AXA World Funds II (the "Company")

HSBC Global Investment Funds Global High Yield Bond

Cumulative Performance (in %) - Share Class LD

GLOBAL DIVIDEND FUND W - ACC SHARES 31 MAY 2017

Invesco Funds SICAV 2-4 rue Eugène Ruppert L-2453 Luxembourg Luxembourg Luxembourg, 15 March 2018

PARVEST. SEMI-ANNUAL REPORT at 31/08/2013. R.C.S. Luxembourg B

Boussard & Gavaudan Convertible A compartment of Boussard & Gavaudan SICAV

JPMorgan International Value Fund Schedule of Portfolio Investments as of January 31, 2018 (Unaudited)

CARNEGIE FUND II FONDS COMMUN DE PLACEMENT AUDITED ANNUAL REPORT 31 DECEMBER 2014

Templeton Asian Smaller Companies Fund A (acc) USD

Templeton Growth (Euro) Fund A (acc) EUR

Allianz Global Investors Fund II

PARVEST SICAV SEMI-ANNUAL REPORT. at 31/08/2014. R.C.S. Luxembourg B

T. Rowe Price Funds SICAV A Luxembourg UCITS

EDR FUND EUROPE CONVERTIBLES A-EUR / B-EUR

BlackRock Developed World Index Sub-Fund

Franklin European Small-Mid Cap Growth Fund A (acc) EUR

Kronos : dynamic management of performance and risk

UBS (Lux) Equity SICAV Small Caps Europe

Transcription:

T REET O P G L O B A L OPPORTUNIT I E S Quarterly Report TreeTop Global Opportunities 4Q 2018 S u b - f u n d o f T r e e T o p G l o b a l S I C A V M a n a g e d b y T r e e T o p A s s e t M a n a g e m e n t S. A., a M a n a g e m e n t c o m p a n y u n d e r L u x e m b o u r g l a w QUARTERLY REPORT 4Q 2018 The present Quarterly Report on its own does not give complete information about the SICAV and should therefore be read before any investment together with the Key Investor Information Document (KIID), the prospectus as well as the latest annual/semi-annual report of the SICAV. General information Technical Datasheet Name of the sub-fund Legal form Type of financial product Duration of the product Currency Investment objective Share classes Manager Co-managers Sub-fund assets (as of 31/12/18) Recommended holding period TreeTop Global Opportunities, a sub-fund of TreeTop Global SICAV Sub-fund of a SICAV under Luxembourg law Undertaking for Collective Investment Indefinite EUR The sub-fund aims to increase the value of your investment over the long term. Under normal market conditions, the sub-fund invests mainly in shares from issuers anywhere in the world, including in emerging markets, China and Russia. The sub-fund also invests in other types of securities that are consistent with its objective. The sub-fund may use derivatives for investment purposes or to reduce investment risks (hedging). Fundamental to the fund manager's approach is the belief that companies with accelerating earnings growth will deliver the best absolute returns. This points the sub-fund towards those areas experiencing high growth, or where growth is re-accelerating. The subfund aims to invest in about 50 to 70 companies diversified in terms of economic sectors and geographical areas. For the AH share class only, the manager's objective is to hedge positions in currencies other than the Euro which represent more than 2.5% of the net asset value of the share class. The MSCI All Country World index provides a reference of the investment universe of the fund manager. It is provided for information purpose only as indeed the sub-fund is managed on a discretionary basis and its portfolio will show a significant departure from the index. The sub-fund may not be appropriate for investors who plan to withdraw their money within 6 years. The share classes do not distribute dividends (meaning that any income earned by the sub-fund is added to the share price). You can place orders to buy or sell shares of the sub-fund daily. These objectives as well as the investment policy are an exact copy of those indicated in the corresponding KIID. Class Dividend policy Launch date ISIN code AH EUR Capitalisation 01/01/2008 LU0338386468 B USD Capitalisation 01/01/2008 LU0338394058 C GBP Capitalisation 01/01/2008 LU0338400046 Peter Robson Ben Shields, Jonathan Alvis 88 million More than 6 years Management and Distribution Management Company TreeTop Asset Management S.A., a Management company under Luxembourg law 1

Custodian Bank Financial Service (Belgium) Financial Service (Luxemburg) External Auditor Liquidity Display of NAVs Minimum initial subscription Cut-off Registered in Documents Banque Degroof Petercam Luxembourg S.A. Banque Degroof Petercam S.A. Banque Degroof Petercam Luxembourg S.A. PricewaterhouseCoopers Daily NAVs are published in l'echo and De Tijd 250 / $ / 1:15 pm Belgium, France, Luxemburg, Spain, the Netherlands, Sweden, Switzerland and the United Kingdom The KIID, as well as the prospectus and periodic reports in English, French and Dutch are available on request and free of charge from TreeTop Asset Management S.A. 12 rue Eugène Ruppert L-2453 Luxembourg, from the bank in charge of the fund administration in Belgium: Banque Degroof Petercam SA, rue de l'industrie 44 in B-1040 Brussels or on www.treetopam.com. Fees and Taxation Entry fee None Redemption fee None Ongoing charges (as of AH: 1.53%; B: 1.53%; C: 1.54% 31/12/17) Performance fee 12% of the daily increase in the fund value if the share price exceeds the highest share price ever achieved by the fund Stock exchange transaction 1.32% max. 4,000 tax Belgian savings tax on Not applicable redemption Belgian withholding tax Not applicable The tax regime applies to an average retail customer, being a natural person residing in Belgium. Risk and Reward Profile Legal information The sub-fund does not offer either protection or any capital guarantee or a guaranteed yield. The risk/reward rating of the subfund reflects the following factors: 1) it invests mainly in shares, and 2) it may favour particular economic sectors or regions, including emerging markets. Moreover, it is also exposed to the following risks: counterparty (the sub-fund could lose money if any entity with which it does business becomes unwilling or unable to honor its obligations to the subfund), legal and tax risks (the sub-fund could be affected by foreign legal and tax changes, some of which may be retroactive). The figures in this Quarterly Report have not been audited and should not be considered as investment advice. Complaints can be addressed to the attention of the Compliance Officer, at the following address: TreeTop Asset Management Belgium, rue des Francs, 79, 1040 Brussels. We will send you an acknowledgement of receipt within 5 working days. We will analyze your complaint and give a detailed response in the month following its receipt, provided that the complaint is complete and specific. Complaints relating to investment products and services can be addressed to the Ombudsfin (Banks, Credits and Investments Mediation Service), North Gate II, Avenue Roi Albert II 8, B-1000 Brussels (www.ombudsfin.be or ombudsman@ombudsfin.be). The mediation service may suggest solutions for resolving the dispute. In the event of a lack of mutual acceptance of the proposed solutions, either party can turn to the competent courts. 2

NAV evolution of TreeTop Global Opportunities AH EUR 1 vs. MSCI All Country World 2 200 Performance of TreeTop Global Opportunities AH EUR as of 31 December 2018 180 160 140 120 100 80 60 40 TreeTop Global Opp. AH EUR MSCI AC World Calendar year performance of TreeTop Global Opportunities AH EUR 1 vs. MSCI AC World 2 since 2009 100% 80% 60% 40% 20% 0% -20% -40% -60% -80% 73.9% 29.2% 18.6% 10.7% -6.7% -21.4% 18.2% 15.0% 31.4% 26.2% 10.1% 1.1% 1.4% -2.4% TreeTop Global Opp. AH EUR MSCI AC World -1.8% 8.6% 28.1% 19.8% -8.5% -35.9% Performance summary as of 31 December 2018 TreeTop Global MSCI AC World² Opportunities AH EUR 1 Cumulated returns 1 month -11.0% -7.4% 3 months -23.6% -13.1% YTD -35.9% -8.5% 1 year -35.9% -8.5% Annualized returns 3 years -6.9% 6.0% 5 years -4.5% 5.9% 10 years 7.2% 9.9% Inception 1.3% 4.1% Sources: Degroof Petercam Asset Services and Bloomberg (base 100 at inception date: 01/01/2008). Past performance and NAV evolution are no guarantee of future performance. The returns, calculated in the reference currency (EUR), do not reflect any entry charges or taxes a Belgian private individual might have to pay. 1 There are other share classes (B USD and C GBP): the relevant returns as well as the net asset value evolution are available on request and free of charge from TreeTop Asset Management and are also presented on the website www.treetopam.com. 2 The investment policy does not stipulate any correlation between the sub-fund and the index (MSCI All Country World in local currency - Bloomberg code: NDLEACWF). Consequently, the performance of the sub-fund may differ from the performance of the index. 3

Performance Contribution Analysis Performance Contribution over the last 12 months (31 Dec. 17-31 Dec. 18) -0.2% -0.4% -0.6% -0.8% -1.2% -1.4% -1.6% -1.8% -0.76% -0.81% Top 15 Absolute Perf. Contributions (last 12 months) -0.91% -0.92% -0.97% -0.98% -0.98% -0.99% -1.07% -1.19% -1.24% -1.28% -1.42% -1.67% -1.86% 2.0% -8.0% Country contribution (last 12 months) Asia: -9.79% Europe: -10.8% America: -12.75% 1.0% -3.0% -5.0% -7.0% -8.0% -9.0% Sector contribution (last 12 months) -1 Performance Contribution over the last 3 months (30 Sept. 18-31 Dec. 18) Top 15 Absolute Perf. Contributions (last 3 months) -0.2% -0.4% -0.6% -0.8% -1.2% -1.4% -0.64% -0.65% -0.66% -0.68% -0.78% -0.79% -0.80% -0.88% -0.91% -0.95% -1.00% -1.02% -1.05% -1.14% -1.6% -1.8% -1.57% Country contribution (last 3 months) Sector contribution (last 3 months) 2.0% -8.0% -1 Asia: -4.07% Europe: -8.52% America: -9.58% 1.0% -3.0% -5.0% -7.0% Source: TreeTop Asset Management 4

Portfolio Structure as of 31 December 2018 Sector breakdown 0% 5% 10% 15% 20% 25% Technology Finance Health Care Energy Cons. Discret. Materials Cons. Staples Cash Telecom Industry Geographic breakdown Pacific 29.5% including: India 10.7% Vietnam 4.8% Japan 4.6% China 4.5% Americas 39.1% USA 29.4% Argentina 5.9% Canada 3.8% Cash 4.0% Europe 27.4% including: UK 11.2% Germany 6.2% Spain 4.5% Sweden 2.7% Type of securities Market capitalisation Equity 96.0% 40% 30% 30% 33% 37% 20% 10% Main holdings of the portfolio Cash 4.0% 0% < 1 Bn 1-5 Bn > 5 Bn Average market capitalisation : 12.2 billion Securities Underlying Sector Country % NAV Equity FPT CORP WRT (JPM) TECHNOLOGY VIETNAM 4.8% Equity PRESTIGE ESTATES PROJECTS WRT (CLSA) FINANCE INDIA 3.8% Equity IQE PLC TECHNOLOGY UK 3.3% Equity NATIONAL OILWELL VARCO INC ENERGY US 3.0% Equity CITIGROUP INC FINANCE US 2.9% Equity ITRON INC TECHNOLOGY US 2.9% Equity DEUTSCHE BANK AG-REGISTERED FINANCE GERMANY 2.9% Equity NUANCE COMMUNICATIONS INC TECHNOLOGY US 2.8% Equity CAMECO CORP ENERGY CANADA 2.7% Equity ANTHEM INC HEALTH CARE US 2.6% TOTAL 31.7% Source: TreeTop Asset Management 5

Portfolio Composition as of 31 December 2018 Underlying Curr. Region % portf. Mkt cap. EUR bn Sector ADANI PORTS & SPECIAL ECON USD PAC/INDIA 1.58 10.05 INDUSTRY ADECOAGRO SA USD AMER/ARGENTINA 2.58 0.71 CONS. STAPLES AERIE PHARMACEUTICALS INC USD AMER/USA 1.16 1.43 HEALTH CARE AIMMUNE THERAPEUTICS INC USD AMER/USA 1.77 1.23 HEALTH CARE ALLERGAN PLC USD AMER/USA 1.78 39.37 HEALTH CARE ANTHEM INC USD AMER/USA 2.60 59.31 HEALTH CARE BANCO DE SABADELL SA EUR EUROPE 2.23 5.63 FINANCE BANCO MACRO SA ADR USD AMER/ARGENTINA 1.72 2.59 FINANCE BIOCARTIS NV EUR EUROPE 0.09 0.52 HEALTH CARE CAMECO CORP USD AMER/CANADA 2.66 3.92 ENERGY CELGENE USD AMER/USA 1.92 39.13 HEALTH CARE CITIGROUP INC USD AMER/USA 2.91 111.02 FINANCE CTRIP.COM INTERNATIONAL-ADR USD PAC/CHINA 1.52 12.88 CONS. DISCRET. DALI FOODS GROUP CO LTD HKD PAC/CHINA 1.45 8.84 CONS. STAPLES DESPEGAR.COM CORP USD AMER/ARGENTINA 1.60 0.75 CONS. DISCRET. DEUTSCHE BANK AG-REGISTERED EUR EUROPE 2.86 14.40 FINANCE DOWDUPONT INC USD AMER/USA 1.72 107.14 MATERIALS EVR HOLDINGS PLC GBP EUROPE 0.24 0.07 TECHNOLOGY EXACT SCIENCES CORP USD AMER/USA 1.42 6.77 HEALTH CARE FPT CORP USD PAC/VIETNAM 4.75 0.98 TECHNOLOGY GETINGE AB-B SHS SEK EUROPE 1.44 2.14 HEALTH CARE GVC HOLDINGS GBP EUROPE 1.65 4.37 CONS. DISCRET. INDIABULLS HOUSING FINANCE USD PAC/INDIA 2.90 4.56 FINANCE INVESCO LTD USD AMER/USA 1.00 6.01 FINANCE IQE PLC GBP EUROPE 3.33 0.56 TECHNOLOGY ITRON INC USD AMER/USA 2.90 1.63 TECHNOLOGY LEKOIL LTD GBP EUROPE 0.73 0.05 ENERGY MODEC INC JPY PAC/JAPAN 2.10 1.02 ENERGY MOMO INC-SPON ADR USD PAC/CHINA 1.48 4.28 TECHNOLOGY NATIONAL OILWELL VARCO INC USD AMER/USA 3.01 8.60 ENERGY NOKIA EUR EUROPE 1.54 28.35 TELECOM NORDIC SEMICONDUCTOR ASA NOK EUROPE 1.28 0.52 TECHNOLOGY NUANCE COMMUNICATIONS INC USD AMER/USA 2.80 3.32 TECHNOLOGY ONO PHARMACEUTICAL CO LTD JPY PAC/JAPAN 2.50 9.71 HEALTH CARE ORBCOMM INC USD AMER/USA 2.16 0.57 TELECOM PRESTIGE ESTATES PROJECTS INR PAC/INDIA 4.09 1.03 FINANCE RELIANCE NIPPON LIFE AM INR PAC/INDIA 2.12 1.22 FINANCE SEEING MACHINES LTD GBP PAC/AUSTRALIA 1.67 0.11 TECHNOLOGY SHAKEY'S PIZZA ASIA VENTURES PHP PAC/PHILIPPINES 1.67 0.30 CONS. DISCRET. SIEMENS GAMESA RENEWABLE ENE EUR EUROPE 2.24 7.25 ENERGY SOUTHWESTERN ENERGY CO USD AMER/USA 1.09 1.73 ENERGY SPOTIFY TECHNOLOGY SA USD EUROPE 1.22 17.95 TECHNOLOGY SYRAH RESOURCES LTD AUD PAC/AUSTRALIA 1.70 0.32 MATERIALS TECHNIPFMC PLC EUR EUROPE 2.26 7.97 ENERGY TELE COLUMBUS AG EUR EUROPE 1.32 0.37 TECHNOLOGY TURQUOISE HILL RESOURCES LTD USD AMER/CANADA 1.20 2.90 MATERIALS US SILICA HOLDINGS INC USD AMER/USA 1.14 0.69 MATERIALS WANDISCO PLC GBP EUROPE 1.82 0.23 TECHNOLOGY XAAR PLC GBP EUROPE 1.14 0.13 TECHNOLOGY ZOOPLUS AG EUR EUROPE 1.97 0.85 CONS. DISCRET. TOTAL WEIGHTED AVERAGE 96.03 12.16 Source: TreeTop Asset Management 6

GLOSSARY CONSUMER DISCRETIONARY SECTOR: The Consumer Discretionary Sector encompasses those businesses that tend to be the most sensitive to economic cycles. Its manufacturing segment includes automotive, household durable goods, leisure equipment and textiles & apparel. The services segment includes hotels, restaurants and other leisure facilities, media production and services, and consumer retailing and services. CONSUMER STAPLES SECTOR: The Consumer Staples Sector comprises companies whose businesses are less sensitive to economic cycles. It includes manufacturers and distributors of food, beverages and tobacco and producers of non-durable household goods and personal products. It also includes food & drug retailing companies as well as hypermarkets and consumer super centers. PERFORMANCE CONTRIBUTION: it represents the performance (excluding currency exchange impact), positive or negative, realised for each security held over a given period of time (quarter or year). The same calculation is performed by country and by economic sector. The absolute performance contribution charts show the 15 most important contributions of the portfolio, positive or negative. STOCK MARKET CAPITALISATION: a company s total value at a given point in time, obtained by multiplying the stock market price by the number of shares in circulation. There are three commonly recognised categories of capitalisation, namely large caps (>2 billion $), midcaps (between 0.4 and 2 billion $) and small caps (< 0.4 billion $). Stock market capitalisation and the volume of shares traded on a daily basis are used as indicators of the liquidity of the shares selected. 7