Fund key data| Dividend | 01.03. |
| Base currency | EUR |
| Fund volume | 16,838,164.99 |
| Fund accounting year | 07.12. to 06.12. |
| Day of first issue | 12/07/2009 |
| Sales authorisation | AT |
| Management fee | 0.50 % p.a. |
| Recommended holding period | II |
| Investor experience | B - C |
| Investor risk tolerance | 5 |
| Contact | ansprechpartner@sparinvest.com |
Share certificates
| Type | ISIN | Currency | Net asset value | Initial charge |
| A. | AT0000A0FS57 | EUR | 106.53 | 2.00% |
Performance according to OeKB (Oesterreichische Kontrollbank AG) (in %, p.a.) (Reporting date: 08/31/2010)
| Currency | 1 Year | 3 Years | 5 Years | 10 Years | Beginning of the year * | Inception |
| EUR | | | | | 6.82 | 7.02 |
* absoluteAnnual performance (in %, in fund base currency)
| Year | | | | | 2009 |
| Performance | | | | | 0.19 |
Top positions
| Security | Share of fund assets |
| TURKEY 04/15 | 13.89% |
| KROATIEN 09/15 | 13.26% |
| HUNGARY 09/14 | 12.51% |
| POLEN 09/14 MTN | 10.24% |
| CZECH REP. 09/14 MTN | 9.95% |
Fund ratios*| Average securities return | 4.22% |
| Average time to maturity | 3.79 Years |
| Duration | 4.10 Years |
| Mod. Duration | 3.97% |
* Explanation of financial terms | | | Performance Performance (incl. distribution of dividends) between 12/07/2009 and 08/31/2010  |
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