French Mutual Fund EDMOND DE ROTHSCHILD GOLDSPHERE

Similar documents
ASA GOLD AND PRECIOUS METALS LIMITED

ASA GOLD AND PRECIOUS METALS LIMITED

PORTFOLIO OF INVESTMENTS 3 RD QUARTER USAA PRECIOUS METALS AND MINERALS FUND FEBRUARY 28, 2018

Letter to Shareholders

ASA GOLD AND PRECIOUS METALS LIMITED

INTERIM MANAGEMENT REPORT OF FUND PERFORMANCE. NBI Precious Metals Fund (formerly National Bank Precious Metals Fund)

Invesco Gold & Precious Metals Fund Quarterly Schedule of Portfolio Holdings July 31, 2017

Pioneer Funds Austria - Gold Stock

SICAV de droit français TIKEHAU INCOME CROSS ASSETS

Semiannual Report 12/31/2017. Oppenheimer Gold & Special Minerals Fund

Investment company with variable capital - SICAV under French law METROPOLE AVENIR EUROPE

ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE. NBI Precious Metals Fund (formerly National Bank Precious Metals Fund)

Semiannual Report to Shareholders

Wells Fargo Precious Metals Fund

Gabelli Gold Fund, Inc.

2017 ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE

VanEck VIP Global Gold Fund

EDMOND DE ROTHSCHILD INDIA (EdR India)

TD Precious Metals Fund

EDMOND DE ROTHSCHILD SYNERGY EUROPE (EdR SYNERGY EUROPE)

Annual Report December 31, 2017 (Y)our Portfolio Management Team

Wells Fargo Precious Metals Fund

2012 SEMI-ANNUAL REPORT OF THE FRENCH MUTUAL FUND (FCP) CARMIGNAC INVESTISSEMENT

TD Precious Metals Fund

Condensed Interim Unaudited Report 30 June 2017

For personal use only

TD Precious Metals Fund

HERMÈS. Circular on Share Buyback Programme Authorised by the Annual General Meeting of Shareholders of 29 May 2012

IG Mackenzie Global Precious Metals Class

MACKENZIE PRECIOUS METALS CLASS

BMO Equal Weight Global Gold Index ETF (ZGD) (the ETF ) (formerly BMO S&P/TSX Equal Weight Global Gold Index ETF)

Interim Management Report of Fund Performance AGF Precious Metals Fund

French mutual fund (Fonds Commun de Placement, FCP) GROUPAMA AVENIR EURO

REPORT. semi-annual. May 31, 2016

BAKERSTEEL GLOBAL FUNDS SICAV BAKERSTEEL GLOBAL FUNDS SICAV BAKERSTEEL GLOBAL FUNDS. Annual report for the period 19 February 2015 to 31 December 2015

FPI BlackRock World Gold USD. December OLAB fund factsheet. Fund objective

AMG Gold, Mines & Metals

Vanguard Precious Metals and Mining Fund

BMO Mutual Funds 2015

BetaPro Canadian Gold Miners -2x Daily Bear ETF (formerly Horizons BetaPro S&P/TSX Global Gold Bear Plus ETF)

Overviews as at August 31, 2018

5 June 2017 ASX CODE: GDX VANECK VECTORS GOLD MINERS ETF NYSE CODE: GDX US QUARTERLY PORTFOLIO HOLDINGS REPORT

Overviews as at December 31, 2018

2015 Semi-Annual Management Report of Fund Performance

Gabelli Gold Fund, Inc. Shareholder Commentary March 31, 2018

ANNUAL REPORT USAA PRECIOUS METALS AND MINERALS FUND

Horizons Enhanced Income Gold Producers ETF (HEP, HEP.A:TSX)

HERMÈS INTERNATIONAL

For personal use only

FCP ECHIQUIER ARTY. Attestation of the statutory auditor on the asset composition statement as of June 29th 2018

United Gold & General Fund

Gabelli Gold Fund, Inc.

ASA LIMITED FINANCIAL STATEMENTS, SCHEDULES OF INVESTMENTS AND PER SHARE INFORMATION FOR THE NINE MONTHS ENDED AUGUST 31, 2010 AND 2009

2014 Semi-Annual Management Report of Fund Performance

BMO Mutual Funds 2014

BetaPro Canadian Gold Miners 2x Daily Bull ETF (HGU:TSX)

SYCOMORE SELECTION RESPONSABLE

FINALTIS EFFICIENT BETA EURO

IG Mackenzie Global Precious Metals Class

Horizons BetaPro S&P/TSX Global Gold Bull Plus ETF (HGU:TSX)

Gabelli Gold Fund, Inc.

MACKENZIE PRECIOUS METALS CLASS

Ninepoint Partners LP Ninepoint Corporate Class Inc.

Vanguard Precious Metals and Mining Fund

Enhanced Investment Products Limited 14 November 2016

GDX VanEck Vectors Gold Miners ETF

Vanguard Precious Metals and Mining Fund

French UCITS H2O MULTIBONDS. On 30 june Management Company: H2O AM LLP Custodian : Caceis Bank Auditor: KPMG Audit

French Mutual Fund MILLESIMA 2021 HALF-YEARLY STATEMENT. as at 30 June 2017

Horizons Enhanced Income Gold Producers ETF (HEP:TSX)

Securities Lending. Collateral Type* ($000s) Organization of the Fund (note 1) x x

Australian Gold Miners

BMO Mutual Funds 2015

Securities Lending. Collateral Type* ($000s) Organization of the Fund (note 1) x x

FNV. Forward-Looking Statements. Non-IFRS Measures

gabelli gold Fund, inc. shareholder commentary March 31, 2016

Mine Gold. Create Value. Investor Presentation - Sydney Mining Club, Sydney, 13 July 2017

Half-yearly report. 31 December 2015 MANDARINE REFLEX. Legal form: Management company:

Franklin Gold and Precious Metals Fund A (acc) USD

Investec Global Gold I Acc GBP

SECTOR. Gold Mining. Analysis and Synthesis - World. March 1, 2016

Holcim Capital Corporation Ltd.

French Mutual Fund EDMOND DE ROTHSCHILD EURO SUSTAINABLE CREDIT

PHILEAS L/S EUROPE OBJECTIVES AND INVESTMENT POLICY RISK AND REWARD PROFILE

Gabelli Gold Fund, Inc. Shareholder Commentary September 30, 2015

Guidance regarding the completion of the Market Risk prudential reporting module for deposit-taking branches Issued May 2008

BMO Mutual Funds 2014

FNV. Forward-Looking Statements. Non-IFRS Measures

Michael S. (Mickey) Fulp

EDR FUND EUROPE CONVERTIBLES A-EUR / B-EUR

Why This Billionaire Just Bought Gold for the First Time in His Life

French UCITS H2O MULTIBONDS SEMI-ANNUAL REPORT. On 29 june Management Company: H2O AM LLP. Custodian: Caceis Bank. Auditor: Kpmg Audit

Disclosure Guidance and Transparency Rules sourcebook. Chapter 4. Periodic Financial Reporting

Odds in favor of improving gold sentiment in 2016

LONDON PM GOLD PRICE. Source: WGC, Global Insight $2,000 $1,800 $1,600 $1,400 $1,200 $1,000 $800 $600 $400 $200 $

We are pleased to count you as a unitholder in the AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA FCP.

2016 Denver Gold Forum

Final Terms dated 25 March 2014 RALLYE

VARENNE VALEUR FINANCIAL STATEMENTS

Total Capital International Period from January 1 to September 30, 2015

Transcription:

French Mutual Fund EDMOND DE ROTHSCHILD GOLDSPHERE HALF-YEARLY STATEMENT as at 29 March 2018 Management company: Asset Management (France) Custodian: (France) Statutory auditor: KPMG Audit Asset Management (France) 47 rue du Faubourg Saint-Honoré 75401 Paris Cedex 08, France

STATEMENT OF ASSETS IN USD Statement of assets details Amount at time of interim report* 26,450,515.22 b) Bank balances 1,483,323.06 c) Other assets held by the UCI 835,731.60 d) Total assets held by the UCI (lines a+b+c) 28,769,569.88 e) Liabilities -102,776.59 f) Net asset value (lines d+e = net assets of the UCI) 28,666,793.29 * The amounts are signed off NUMBER OF UNITS OUTSTANDING AND NET ASSET VALUE PER UNIT GOLDSPHERE I in EUR GOLDSPHERE CR in EUR Unit Type of unit Net assets per unit Number of units outstanding Net asset value per unit C 282,150.19 39.002 7,234.24 C 103,213.97 1,159.759 88.99 GOLDSPHERE A in USD GOLDSPHERE B in EUR GOLDSPHERE E in EUR GOLDSPHERE R in EUR C 5,964,724.43 103,438.572 57.66 C 13,577,778.05 206,453.211 65.76 C 1,189,806.19 18,928.060 62.85 C 3,306,269.28 61,063.508 54.14 2

SECURITIES PORTFOLIO ITEMS Securities portfolio items Percentage of net assets * Total percentage of assets ** A) Eligible financial securities and money market instruments admitted to trading on a regulated market, within the meaning of Article L. 422-1 of the French Monetary and Financial Code. And B) Eligible financial securities and money market instruments admitted to trading on another regulated market, that operates regularly, is recognised, open to the public and whose registered offices are located in a Member State of the European Union or in another State party to the agreement on the European Economic Area. C) Eligible financial securities and money market instruments admitted to official listing on a stock exchange in a third country or traded on another market of a third country that is regulated, operates regularly, is recognised and open to the public, provided that this stock exchange or market is not included on a list drawn up by the Autorité des marchés financiers (French Financial Markets Authority AMF) or that the choice of this stock exchange or market is established by law or by the regulations or the articles of association of the undertaking for collective investment in transferable securities. D) Recently issued financial securities referred to in paragraph 4, section I of Article R. 214-11 of the French Monetary and Financial Code. E) Other assets: These are assets referred to in section II of Article R. 214-11 of the French Monetary and Financial Code. 1.49 1.48 90.78 90.45 * Please refer to f) of the statement of assets ** Please refer to d) of the statement of assets 3

BREAKDOWN OF ASSETS A), B), C), D) OF THE SECURITIES PORTFOLIO, BY CURRENCY Percentage of Total Securities Currency Amount (USD) net assets * percentage of assets ** Australian dollar AUD 1,394,152.16 4.86 4.85 Canadian dollar CAD 19,361,600.22 67.54 67.30 US dollar USD 2,957,305.00 10.32 10.28 Pound sterling GBP 2,737,457.84 9.55 9.52 TOTAL 26,450,515.22 92.27 91.94 * Please refer to f) of the statement of assets ** Please refer to d) of the statement of assets 4

BREAKDOWN OF ASSETS A), B), C), D) OF THE SECURITIES PORTFOLIO, BY COUNTRY OF RESIDENCE OF ISSUER Country Percentage of net assets * Total percentage of assets ** Canada 61.90 61.68 United States of America 10.32 10.28 Jersey 8.06 8.03 Australia 4.86 4.85 Cayman Islands 4.18 4.17 United Kingdom 1.49 1.48 Bermuda 1.46 1.45 TOTAL 92.27 91.94 * Please refer to f) of the statement of assets ** Please refer to d) of the statement of assets 5

BREAKDOWN OF OTHER ASSETS OF E) OF THE SECURITIES PORTFOLIO, BY TYPE Types of assets Undertakings for collective investment Retail UCITS and AIFs intended for non-professionals and equivalent investors in other countries Other funds intended for non-professionals and equivalent investors in other EU member states Professional investment funds and equivalent funds in other EU member states and listed special purpose vehicles Other professional investment funds and equivalent funds in other EU member states and unlisted special purpose vehicles Other non-european undertakings Other TOTAL * Please refer to f) of the statement of assets ** Please refer to d) of the statement of assets Percentage of net assets * Total percentage of assets ** 6

CHANGES IN THE SECURITIES PORTFOLIO DURING THE PERIOD IN USD Securities portfolio items Purchases Changes (amount) Sales A) Eligible financial securities and money market instruments admitted to trading on a regulated market, within the meaning of Article L. 422-1 of the French Monetary and Financial Code. And B) Eligible financial securities and money market instruments admitted to trading on another regulated market, that operates regularly, is recognised, open to the public and whose registered offices are located in a Member State of the European Union or in another State party to the agreement on the European Economic Area. C) Eligible financial securities and money market instruments admitted to official listing on a stock exchange in a third country or traded on another market of a third country that is regulated, operates regularly, is recognised and open to the public, provided that this stock exchange or market is not included on a list drawn up by the Autorité des marchés financiers (French Financial Markets Authority AMF) or that the choice of this stock exchange or market is established by law or by the regulations or the articles of association of the undertaking for collective investment in transferable securities. D) Recently issued financial securities referred to in paragraph 4, section I of Article R. 214-11 of the French Monetary and Financial Code. 441,401.32 5,708,051.66 6,441,048.86 E) Other assets: These are assets referred to in section II of Article R. 214-11 of the French Monetary and Financial Code. GENERAL INFORMATION Custodian: (France) 47 rue du Faubourg Saint-Honoré 75008 Paris, France The itemised half-yearly statement is available within eight weeks of the end of the period. It is available on request from the management company: Asset Management (France) 47 rue du Faubourg Saint-Honoré 75401 Paris Cedex 08, France 7

SECURITIES FINANCING TRANSACTION REGULATION ( SFTR ) During the year, the UCI was not involved in transactions subject to Regulation (EU) 2015/2365 on the transparency of securities financing transactions and of reuse ( SFTR Regulation ). 8

SECURITIES PORTFOLIO AT 29/03/2018 IN USD Security name Currency Quantity or nominal amount Current value % Net assets Equities and equivalent securities Equities and equivalent securities traded on a regulated or equivalent market AUSTRALIA EVOLUTION MINING LTD AUD 217,000 504,343.20 1.76 NEWCREST MINING LTD AUD 38,000 570,133.10 1.98 REGIS RESOURCES AUD 92,000 319,675.86 1.12 TOTAL AUSTRALIA 1,394,152.16 4.86 BERMUDA CONTINENTAL GOLD LTD CAD 152,000 417,354.75 1.46 TOTAL BERMUDA 417,354.75 1.46 CANADA AGNICO EAGLE MINES CAD 63,000 2,648,490.04 9.24 ALACER GOLD CAD 357,000 567,649.93 1.98 ALAMOS GOLD INC CAD 60,000 311,806.07 1.09 BARRICK GOLD CORP COM NPV CAD 83,000 1,033,264.81 3.60 B2GOLD CORP. CAD 420,000 1,149,959.39 4.01 DETOUR GOLD CAD 64,000 647,315.60 2.26 EQUINOX GOLD - REGISTERED SHARE CAD 534,120 459,854.38 1.60 FRANCO-NEVADA CORP CAD 10,000 681,784.91 2.38 GOLD CAD 193,000 2,663,126.31 9.28 KINROSS GOLD CORPORATION CAD 341,000 1,346,265.35 4.70 KIRKLAND LK GLG REG CAD 39,000 604,089.35 2.11 MAG SILVER CAD 27,000 264,290.55 0.92 NIGHTHAWK GOLD CORP CAD 630,000 332,282.88 1.16 OCEANAGOLD CAD 294,000 791,289.34 2.76 OSISKO MINING CORP CAD 170,000 336,238.63 1.17 PRETIUM RESOURCES CAD 80,000 531,156.21 1.85 ROXGOLD INC CAD 640,000 501,371.75 1.75 SABINA GOLD SILVER CAD 170,000 208,336.09 0.73 SEMAFO INC CAD 440,000 1,266,149.81 4.42 TAHOE RESOURCES CAD 70,000 328,482.26 1.15 TMAC RESOURCES INC CAD 55,000 337,867.47 1.18 TOREX GOLD RES CAD 32,000 196,329.23 0.68 YAMANA GOLD CAD 195,000 538,447.19 1.88 TOTAL CANADA 17,745,847.55 61.90 UNITED STATES OF AMERICA NEWMONT MINING USD 68,000 2,656,760.00 9.27 9

SECURITIES PORTFOLIO AT 29/03/2018 IN USD (continued) Security name Currency Quantity or nominal amount Current value % Net assets ROYAL GOLD INC USD 3,500 300,545.00 1.05 TOTAL UNITED STATES OF AMERICA 2,957,305.00 10.32 CAYMAN ISLANDS ENDEAVOUR MINING CORP CAD 65,000 1,198,397.92 4.18 TOTAL CAYMAN ISLANDS 1,198,397.92 4.18 JERSEY RANDGOLD RESOURCES GBP 28,000 2,310,384.12 8.06 TOTAL JERSEY 2,310,384.12 8.06 UNITED KINGDOM FRESNILLO PLC GBP 24,000 427,073.72 1.49 TOTAL UNITED KINGDOM 427,073.72 1.49 TOTAL Equities and equivalent securities traded on regulated or equivalent markets 26,450,515.22 92.27 TOTAL Equities and equivalent securities 26,450,515.22 92.27 Receivables 835,731.60 2.92 Payables -102,776.58-0.36 Financial accounts 1,483,323.05 5.17 Net assets 28,666,793.29 100.00 10