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 General Information
 Fund Composition
 Sector Allocation
 Performance
 Historical Prices

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Basic Information |
Type 'A' in EUR |
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Funds distributed in |
Austria |
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Fund Type |
distribution |
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ISIN |
AT0000777784 |
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First Issue Date |
08/02/99 |
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Fund Currency |
EUR |
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Financial Year |
01/01 - 12/31 |
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Up Front Sales Charge |
0.00% |
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Trading Frequence |
daily |
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Cut-Off Time |
10:30 / T-2 |
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Value Date |
T+2 |
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Actual Price Information |
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Net Asset Value |
76.18 |
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Mandatory tax per certificate |
0.27 |
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Total tax per certificate |
0.27 |
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therefrom SPESt per certificate |
0.00 |
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therefrom KESt on foreign dividends |
0.00 |
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EU-Tax per certificate |
n.a. |
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TIS per certificate |
n.a. |
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Solvability |
n.a. |
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Solvability II Standardised Approach (02/07/08) |
150% |
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Solvability II.1 Foundation IRB Approach |
n.a. |
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Intermediary profit per certificate |
0.00 |
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Total Number of Certificates |
97,792.00 |
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Fund Volume (in Fund Currency) |
7,449,809.02 |
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Price Date |
09/08/10 |
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Last Dividend/Tax Payment |
in Fund Currency |
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Date |
03/01/10 |
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'A' Certificates (distribution) |
94,932 |
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Total Dividend |
213,597.00 |
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Dividend per Certificate |
2.25 |
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Mandatory tax per certificate |
0.65 |
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Total tax per certificate |
0.65 |
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therefrom SPESt per certificate |
0.00 |
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therefrom KESt on foreign dividends |
0.00 |
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Fund Volume Composition |
in Fund Currency |
in % |
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Shares |
879,356.10 |
11.80% |
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Investment Certificates |
2,993,342.91 |
40.18% |
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Bonds |
2,856,483.00 |
38.34% |
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Derivatives |
0.00 |
0.00% |
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Cash |
667,116.20 |
8.95% |
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Claims and Debts |
53,510.81 |
0.72% |
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Total |
7,449,809.02 |
100.00% |
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Fund Administration |
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Contact Person |
Petra Palla |
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Telephone Number |
+43-1-50220-325 |
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Investment Company |
GUTMANN KAG |
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