Values of Friday, 10th of September 2010
Funds distributed in: Austria Germany Switzerland
   
 
     
Gutmann Europa-Portfolio - General Information
     
   
General Information

Fund Composition

Sector Allocation

Performance

Historical Prices

TER/PTR

Basic Information Type 'T' in EUR
Funds distributed in Austria, Germany
Fund Type none distribution
ISIN AT0000712617
First Issue Date 06/01/01
Fund Currency EUR
Financial Year 10/01 - 09/30
Up Front Sales Charge 4.00%
Trading Frequence daily
Cut-Off Time 10:30 / T-1
Value Date T+2
 
Actual Price Information  
Net Asset Value 7.39
Mandatory tax per certificate 0.00
Total tax per certificate 0.00
therefrom SPESt per certificate 0.00
therefrom KESt on foreign dividends 0.00
EU-Tax per certificate n.a.
TIS per certificate n.a.
Solvability n.a.
Solvability II Standardised Approach (02/07/08) 100%
Solvability II.1 Foundation IRB Approach n.a.
Intermediary profit per certificate 0.00
Capital gains on the sale of securities(%) 18.88%
Tax-free capital gain on foreign real estates(%) 0.00%
Total Number of Certificates 1,145,321.00
Fund Volume (in Fund Currency) 8,472,048.09
Price Date 09/10/10
 
Last Dividend/Tax Payment in Fund Currency
Date 12/01/09
'T' Certificates (none distribution) 1,948,466
Total tax per certificate 0.01
Mandatory tax per certificate 0.01
therefrom SPESt per certificate 0.00
therefrom KESt on foreign dividends 0.01
 
Fund Volume Composition in Fund Currency in %
Shares 6,933,462.48 81.84%
Investment Certificates 0.00 0.00%
Bonds 0.00 0.00%
Derivatives 0.00 0.00%
Cash 1,546,908.02 18.26%
Claims and Debts -8,322.41 -0.10%
Total 8,472,048.09 100.00%
 
Fund Administration  
Contact Person Mag. Stephan Wasmayer
Telephone Number +43-1-50220-288
Investment Company GUTMANN KAG
 
   
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