| |
|
 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 |
AT0000A010J2 |
 |
 |
First Issue Date |
05/05/06 |
 |
 |
Fund Currency |
EUR |
 |
 |
Financial Year |
04/01 - 03/31 |
 |
 |
Up Front Sales Charge |
5.00% |
 |
 |
Trading Frequence |
daily |
 |
 |
Cut-Off Time |
10:30 / T-1 |
 |
 |
Value Date |
T+2 |
 |
|
| |
 |
Actual Price Information |
|
 |
 |
 |
 |
 |
 |
Net Asset Value |
83.22 |
 |
 |
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(%) |
-12.03% |
 |
 |
Tax-free capital gain on foreign real estates(%) |
0.00% |
 |
 |
Total Number of Certificates |
37,634.00 |
 |
 |
Fund Volume (in Fund Currency) |
3,132,046.84 |
 |
 |
Price Date |
09/10/10 |
 |
|
| |
 |
Last Dividend/Tax Payment |
in Fund Currency |
 |
 |
 |
 |
 |
 |
Date |
07/30/10 |
 |
 |
'T' Certificates (none distribution) |
37,634 |
 |
 |
Total tax per certificate |
0.00 |
 |
 |
Mandatory tax per certificate |
0.00 |
 |
 |
therefrom SPESt per certificate |
0.00 |
 |
 |
therefrom KESt on foreign dividends |
0.00 |
 |
|
| |
 |
 |
 |
 |
 |
 |
Fund Volume Composition |
in Fund Currency |
in % |
 |
 |
Shares |
2,261,720.13 |
72.21% |
 |
 |
Investment Certificates |
251,385.45 |
8.03% |
 |
 |
Bonds |
108,039.65 |
3.45% |
 |
 |
Derivatives |
-10,587.75 |
-0.34% |
 |
 |
Cash |
520,360.83 |
16.61% |
 |
 |
Claims and Debts |
1,128.53 |
0.04% |
 |
 |
Total |
3,132,046.84 |
100.00% |
 |
|
| |
 |
 |
 |
 |
 |
Fund Administration |
|
 |
 |
Contact Person |
Mag. Anton Resch |
 |
 |
Telephone Number |
+43-1-50220-383 |
 |
 |
Investment Company |
GUTMANN KAG |
 |
 |
Fundmanager |
Albrech & Cie. Vermögensverwaltung AG |
 |
|
| |
|
|
|