Smith & Williamson MM Global Investment Retl Inc NAV

SUMMARY



Fund Overview
Fund Type UK Unit Trusts and OEICs
Unit Type Income
Status UK Authorised
Sector Global Growth
Launch Date 07/04/1999
Currency Sterling (GBP)
Domicile Great Britain
ISIN GB00B031D442
SEDOL B031D44
MEXID WLNGI
Investing in the Fund
Initial Charge 5.00%
Annual Charge 1.50%
Exit Charge -
Min. Initial Investment 5000.00 GBP
Min. Additional Investment 1000.00 GBP
Min. Regular Investment 100.00 GBP
UK ISA yes
CAT Standard no
UK PEP yes
   
 
Contact Information  
 
Fund Management Group Smith & Williamson Website www.Smith.Williamson.co.uk
Fund Management Company Smith & Williamson Investment Management Email -
Fund Manager James Burns / Will Fisher Telephone +44 207 131 8100
Fax -

 

PERFORMANCE

Smith & Williamson MM Global Investment Retl Inc NAV 38.91%Smith & Williamson MM Global Investment Retl Inc NAV 39.46%Smith & Williamson MM Global Investment Retl Inc NAV 39.19%Smith & Williamson MM Global Investment Retl Inc NAV 38.91%Smith & Williamson MM Global Investment Retl Inc NAV 37%Smith & Williamson MM Global Investment Retl Inc NAV 36%Smith & Williamson MM Global Investment Retl Inc NAV 37.82%Smith & Williamson MM Global Investment Retl Inc NAV 41.37%Smith & Williamson MM Global Investment Retl Inc NAV 40.28%Smith & Williamson MM Global Investment Retl Inc NAV 42.2%Smith & Williamson MM Global Investment Retl Inc NAV 42.2%Smith & Williamson MM Global Investment Retl Inc NAV 40.19%Smith & Williamson MM Global Investment Retl Inc NAV 37.91%Smith & Williamson MM Global Investment Retl Inc NAV 37.55%Smith & Williamson MM Global Investment Retl Inc NAV 38.73%Smith & Williamson MM Global Investment Retl Inc NAV 38.64%Smith & Williamson MM Global Investment Retl Inc NAV 38.37%Smith & Williamson MM Global Investment Retl Inc NAV 36.36%Smith & Williamson MM Global Investment Retl Inc NAV 34.72%Smith & Williamson MM Global Investment Retl Inc NAV 33.17%Smith & Williamson MM Global Investment Retl Inc NAV 30.71%Smith & Williamson MM Global Investment Retl Inc NAV 32.81%Smith & Williamson MM Global Investment Retl Inc NAV 32.53%Smith & Williamson MM Global Investment Retl Inc NAV 31.17%Smith & Williamson MM Global Investment Retl Inc NAV 29.43%Smith & Williamson MM Global Investment Retl Inc NAV 31.9%Smith & Williamson MM Global Investment Retl Inc NAV 30.8%Smith & Williamson MM Global Investment Retl Inc NAV 28.98%Smith & Williamson MM Global Investment Retl Inc NAV 28.34%Smith & Williamson MM Global Investment Retl Inc NAV 26.88%Smith & Williamson MM Global Investment Retl Inc NAV 26.24%Smith & Williamson MM Global Investment Retl Inc NAV 24.97%Smith & Williamson MM Global Investment Retl Inc NAV 23.78%Smith & Williamson MM Global Investment Retl Inc NAV 20.41%Smith & Williamson MM Global Investment Retl Inc NAV 20.41%Smith & Williamson MM Global Investment Retl Inc NAV 20.77%Smith & Williamson MM Global Investment Retl Inc NAV 21.6%Smith & Williamson MM Global Investment Retl Inc NAV 20.59%Smith & Williamson MM Global Investment Retl Inc NAV 19.32%Smith & Williamson MM Global Investment Retl Inc NAV 20.87%Smith & Williamson MM Global Investment Retl Inc NAV 22.51%Smith & Williamson MM Global Investment Retl Inc NAV 24.51%Smith & Williamson MM Global Investment Retl Inc NAV 23.97%Smith & Williamson MM Global Investment Retl Inc NAV 22.05%Smith & Williamson MM Global Investment Retl Inc NAV 20.14%Smith & Williamson MM Global Investment Retl Inc NAV 19.5%Smith & Williamson MM Global Investment Retl Inc NAV 19.59%Smith & Williamson MM Global Investment Retl Inc NAV 20.5%Smith & Williamson MM Global Investment Retl Inc NAV 17.86%Smith & Williamson MM Global Investment Retl Inc NAV 19.77%Smith & Williamson MM Global Investment Retl Inc NAV 18.86%Smith & Williamson MM Global Investment Retl Inc NAV 12.39%Smith & Williamson MM Global Investment Retl Inc NAV 9.56%Smith & Williamson MM Global Investment Retl Inc NAV 9.38%Smith & Williamson MM Global Investment Retl Inc NAV 7.56%Smith & Williamson MM Global Investment Retl Inc NAV 6.37%Smith & Williamson MM Global Investment Retl Inc NAV 3.18%Smith & Williamson MM Global Investment Retl Inc NAV 3.18%Smith & Williamson MM Global Investment Retl Inc NAV 1.36%Smith & Williamson MM Global Investment Retl Inc NAV -1.01%Smith & Williamson MM Global Investment Retl Inc NAV -0.27%Smith & Williamson MM Global Investment Retl Inc NAV -1.81%Smith & Williamson MM Global Investment Retl Inc NAV -3.71%Smith & Williamson MM Global Investment Retl Inc NAV -2.81%Smith & Williamson MM Global Investment Retl Inc NAV -5.16%Smith & Williamson MM Global Investment Retl Inc NAV -6.43%Smith & Williamson MM Global Investment Retl Inc NAV -5.7%Smith & Williamson MM Global Investment Retl Inc NAV -4.07%Smith & Williamson MM Global Investment Retl Inc NAV -4.52%Smith & Williamson MM Global Investment Retl Inc NAV -1.9%Smith & Williamson MM Global Investment Retl Inc NAV 2.9%Smith & Williamson MM Global Investment Retl Inc NAV 2.17%Smith & Williamson MM Global Investment Retl Inc NAV 1.09%Smith & Williamson MM Global Investment Retl Inc NAV 0.81%Smith & Williamson MM Global Investment Retl Inc NAV 1.45%Smith & Williamson MM Global Investment Retl Inc NAV 0.18%Smith & Williamson MM Global Investment Retl Inc NAV -1.54%Smith & Williamson MM Global Investment Retl Inc NAV 0%Smith & Williamson MM Global Investment Retl Inc NAV 0.45%Smith & Williamson MM Global Investment Retl Inc NAV 3.8%Smith & Williamson MM Global Investment Retl Inc NAV 5.79%Smith & Williamson MM Global Investment Retl Inc NAV 3.44%Smith & Williamson MM Global Investment Retl Inc NAV 1.72%Smith & Williamson MM Global Investment Retl Inc NAV 0.09%Smith & Williamson MM Global Investment Retl Inc NAV 0.54%Smith & Williamson MM Global Investment Retl Inc NAV 1.27%Smith & Williamson MM Global Investment Retl Inc NAV 0.36%Smith & Williamson MM Global Investment Retl Inc NAV 1.54%Smith & Williamson MM Global Investment Retl Inc NAV -3.08%Smith & Williamson MM Global Investment Retl Inc NAV -2.17%Smith & Williamson MM Global Investment Retl Inc NAV 0.63%Smith & Williamson MM Global Investment Retl Inc NAV -1.72%Smith & Williamson MM Global Investment Retl Inc NAV 0%Fund Composite Benchmark 40.51%Fund Composite Benchmark 40.51%Fund Composite Benchmark 40.86%Fund Composite Benchmark 41.14%Fund Composite Benchmark 38.09%Fund Composite Benchmark 35.46%Fund Composite Benchmark 35.76%Fund Composite Benchmark 39.19%Fund Composite Benchmark 40.93%Fund Composite Benchmark 40.59%Fund Composite Benchmark 41.6%Fund Composite Benchmark 39.41%Fund Composite Benchmark 37.87%Fund Composite Benchmark 34.71%Fund Composite Benchmark 38.2%Fund Composite Benchmark 37.37%Fund Composite Benchmark 38.82%Fund Composite Benchmark 38.48%Fund Composite Benchmark 36.49%Fund Composite Benchmark 34.48%Fund Composite Benchmark 32.28%Fund Composite Benchmark 33.17%Fund Composite Benchmark 33.04%Fund Composite Benchmark 32.33%Fund Composite Benchmark 29.32%Fund Composite Benchmark 30.55%Fund Composite Benchmark 28.98%Fund Composite Benchmark 30.21%Fund Composite Benchmark 30.08%Fund Composite Benchmark 27.72%Fund Composite Benchmark 26.54%Fund Composite Benchmark 24.54%Fund Composite Benchmark 22.2%Fund Composite Benchmark 18.56%Fund Composite Benchmark 16.38%Fund Composite Benchmark 18.17%Fund Composite Benchmark 18.83%Fund Composite Benchmark 19.82%Fund Composite Benchmark 18.72%Fund Composite Benchmark 19.91%Fund Composite Benchmark 19.66%Fund Composite Benchmark 22.82%Fund Composite Benchmark 21.31%Fund Composite Benchmark 22.12%Fund Composite Benchmark 21.05%Fund Composite Benchmark 19.54%Fund Composite Benchmark 18.64%Fund Composite Benchmark 19.8%Fund Composite Benchmark 17.1%Fund Composite Benchmark 19.39%Fund Composite Benchmark 18.2%Fund Composite Benchmark 14.66%Fund Composite Benchmark 13.52%Fund Composite Benchmark 13.08%Fund Composite Benchmark 10.22%Fund Composite Benchmark 12.59%Fund Composite Benchmark 10.99%Fund Composite Benchmark 10.53%Fund Composite Benchmark 9.99%Fund Composite Benchmark 6.63%Fund Composite Benchmark 6.92%Fund Composite Benchmark 6.68%Fund Composite Benchmark 3.6%Fund Composite Benchmark 1.49%Fund Composite Benchmark -0.68%Fund Composite Benchmark -5.77%Fund Composite Benchmark -3.37%Fund Composite Benchmark -0.55%Fund Composite Benchmark 0.77%Fund Composite Benchmark 1.45%Fund Composite Benchmark 7.45%Fund Composite Benchmark 8.21%Fund Composite Benchmark 10.86%Fund Composite Benchmark 8.66%Fund Composite Benchmark 7.62%Fund Composite Benchmark 8.98%Fund Composite Benchmark 6.28%Fund Composite Benchmark 9.34%Fund Composite Benchmark 8.89%Fund Composite Benchmark 15.53%Fund Composite Benchmark 17.26%Fund Composite Benchmark 18.17%Fund Composite Benchmark 15.24%Fund Composite Benchmark 12.59%Fund Composite Benchmark 12.69%Fund Composite Benchmark 15.03%Fund Composite Benchmark 11.49%Fund Composite Benchmark 13.05%Fund Composite Benchmark 7.44%Fund Composite Benchmark 7.47%Fund Composite Benchmark 11.42%Fund Composite Benchmark 7.08%Fund Composite Benchmark 0%
 
COMPARE WITH  
  Add a sector benchmark and/or a market index to the chart above.  
 
  Sector  
  Market Index  
  Timeframe:  

  The Breakdown  
   
 
CUMULATIVE PERFORMANCE Performance to: 20/11/2009
% Return 1 MTD 3 MTD 6 MTD 1 Year 3 Year 5 Year YTD
Smith & Williamson MM Global Investment Retl Inc NAV -2.62 +6.57 +15.11 +38.91 -16.96 +19.62 +35.48

DISCRETE CALENDAR YEAR PERFORMANCE
% Return 2004 2005 2006 2007 2008
Smith & Williamson MM Global Investment Retl Inc NAV - +28.58 +12.03 +8.91 -44.99

DISCRETE QUARTERLY ONE YEAR PERFORMANCE
% Return 30/09/04 to 30/09/05 30/09/05 to 30/09/06 30/09/06 to 30/09/07 30/09/07 to 30/09/08 30/09/08 to 30/09/09
Smith & Williamson MM Global Investment Retl Inc NAV - +11.20 +16.91 -26.46 +1.59

HISTORY

  Smith & Williamson MM Global Investment Retl Inc NAV 1,524 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,524 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,524 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,535 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,536 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,527 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,527 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,524 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,508 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,503 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,503 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,499 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,504 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,512 11-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,512 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,526 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,551 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,547 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,547 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,550 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,561 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,560 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,560 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,560 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,546 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,538 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,538 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,527 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,501 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,509 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,509 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,538 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,522 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,523 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,521 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,528 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,521 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,518 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,515 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,496 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,477 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,478 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,472 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,462 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,448 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,434 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,431 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,430 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,443 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,457 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,457 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,454 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,458 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,452 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,439 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,430 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,424 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,428 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,447 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,442 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,435 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,415 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,415 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,418 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,407 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,404 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,404 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,392 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,390 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,385 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,385 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,373 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,372 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,358 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,358 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,345 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,321 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,321 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,321 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,323 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,327 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,329 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,329 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,334 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,333 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,323 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,323 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,309 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,308 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,326 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,326 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,334 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,344 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,366 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,366 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,370 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,361 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,355 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,355 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,338 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,334 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,318 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,318 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,311 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,312 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,312 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,312 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,324 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,322 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,302 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,293 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,293 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,290 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,312 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,314 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,319 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,319 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,304 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,267 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,257 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,233 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,233 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,225 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,202 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,207 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,200 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,200 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,176 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,183 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,167 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,167 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,159 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,132 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,132 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,132 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,116 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,123 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,112 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,104 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,086 04-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,091 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,102 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,093 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,085 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,077 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,064 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,071 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,073 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,074 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,069 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,069 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,048 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,031 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,025 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,034 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,046 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,039 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,041 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,060 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,060 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,065 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,055 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,084 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,084 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,096 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,107 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,123 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,139 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,139 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,129 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,124 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,117 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,117 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,110 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,108 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,121 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,121 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,115 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,107 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,088 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,088 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,085 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,100 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,110 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,110 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,129 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,131 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,147 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,147 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,151 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,169 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,164 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,143 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,143 01-2009Smith & Williamson MM Global Investment Retl Inc NAV 1,133 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,124 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,106 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,106 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,106 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,111 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,116 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,116 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,107 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,112 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,109 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,109 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,122 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,102 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,084 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,071 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,071 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,077 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,081 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,104 12-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,112 11-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,112 11-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,104 11-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,103 11-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,086 11-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,092 11-2008Smith & Williamson MM Global Investment Retl Inc NAV 1,105 11-2008
 
  Price History  
     
 
Start Date:   
End Date:   
   
20/11/200820/11/2009% ChangeChange
Nav (GBX)1105.001524.00+37.92+419.00
 
  Dividend History  
     
 
Dividend gross (GBX)Dividend net(GBX)Ex-dividend datePayment date
7.847.0501/04/200931/05/2009
5.114.6001/10/200831/01/2009
7.877.0802/04/200831/05/2008
5.885.2901/10/200731/01/2008
4.564.1002/04/200731/05/2007
4.123.7002/10/200631/01/2007
2.972.6703/04/200631/05/2006
9.198.2703/10/200531/01/2006
8.277.4401/04/200531/05/2005

RATINGS



S&P Fund Management Ratings
-




Timeframe 3YR 5YR 10YR Overall
Total Return
Consistent Return
Preservation
Expense

Lipper Graphic
October 2009


Star Rating 3YR % 5YR % Career %
Fund Rating
Fund Manager MRI n/a - - -
Best Invest Key



Morningstar Rating Morningstar Category
Global Large-Cap Growth Equity
October 2009

NEWS

  Fund News  
 No fund news to display. 

  Company And Group News  
 No company or group news to display. 

ASSETS AND HOLDINGS

  Fund Size 35.77m GBP
   
TOP 10 HOLDINGS31/07/2009
INVESCO PERPETUAL UK STRATEGIC4.20%
SCOTTISH MORTGAGE INVESTMENT TRUST4.20%
JAPANESE ACCELERATED PERFORMANCE4.00%
EDINBURGH DRAGON TRUST PLC ORD 20P4.00%
BH GLOBAL GBP3.70%
POLAR CAPITAL TECHNOLOGY TRUST PLC3.70%
HENDERSON TR PACIFIC IT3.60%
UTILICO EMERGING MARKETS3.50%
MONKS INVESTMENT TRUST PLC3.50%
PREMIER ENERGY&WATER TRUST PLC3.40%
Total % Holdings37.80%
ASSET ALLOCATIONS31/07/2009
2.35.46.56.79.310.114.620.424.7

RISK

 
Smith & Williamson MM Global Investment Retl Inc NAV 0.269 10-2009Smith & Williamson MM Global Investment Retl Inc NAV 0.615 09-2009Smith & Williamson MM Global Investment Retl Inc NAV 0.441 08-2009Smith & Williamson MM Global Investment Retl Inc NAV 0.278 07-2009Smith & Williamson MM Global Investment Retl Inc NAV 0.789 06-2009Smith & Williamson MM Global Investment Retl Inc NAV 0.818 05-2009Smith & Williamson MM Global Investment Retl Inc NAV 0.713 04-2009Smith & Williamson MM Global Investment Retl Inc NAV -0.13 03-2009Smith & Williamson MM Global Investment Retl Inc NAV 0.306 02-2009Smith & Williamson MM Global Investment Retl Inc NAV 0.115 01-2009

 
  Stat Time Period
 
  Risk Indicators  
  Risk indicators are intended to help understand the risk vs potential reward of investing in the fund. The quartile column next to each statistic indicates the funds performance on this factor relative to comparible funds over the same time period. Quartile 1 indicates top 25% performance. Please note, the quartile column is not displayed for Exchange Traded Funds.  
  Time Period Benchmark or Sector used:  Fund Composite Benchmark
  Tracking Error
 
+2.20
value
2
quartile
Tracking error indicates the difference between the return of the fund and that of the benchmark it was meant to track or beat. A Low tracking error means a fund is closely tracking its benchmark while a high tracking errors indicates the opposite.

As a general rule, the tracking error for passively managed funds, such as index funds, should be as low as possible. Actively managed funds usually seek to beat its benchmark. In these cases, the investor generally seeks to maximize tracking error. A high tracking error might also indicate that the fund should be measured against a more appropriate benchmark.
 
  R Squared
 
+0.45
value
2
quartile
The R-squared of a fund indicates if the fund is being compared to an appropriate benchmark. R-squared describes the portion of a funds performance that is explained by movements in the market benchmark. R-squared can help an investor assess the usefulness of a fund’s beta or alpha statistics. For example, the higher the R-squared value the more you can trust the fund’s alpha and beta statistics. The R-squared value varies from 0 to 1 and values greater than 0.85 are often considered high while a value less than 0.70 would be considered low.
 
  Alpha
 
+0.30
value
4
quartile
Alpha is the amount by which an investment’s actual return exceeds or falls short of its expected return given its level of risk (beta). A positive alpha indicates that an investment has performed better than expected given its beta; whereas, a negative alpha indicates poorer performance.

For instance, with an R-squared value we can trust, an alpha of 1.2 infers that a fund is projected to increase 20% when the fund’s "beta" is zero.
 
  Beta
 
+0.46
value
1
quartile
Beta measures how much a fund is likely to move with the general market. Assuming a high R-squared value beta can be used to predict the fund’s expected return: When the beta of the fund is 0.6, the value of the fund rises by on average 0.6% when the benchmark index rises by 1%. Correspondingly, when the benchmark index falls by 1%, the value of the fund falls on average by 0.6%.
 
  Sharpe
 
+0.29
value
4
quartile
The Sharpe ratio is a performance figure which has been adjusted for the risk the fund has taken to achieve it’s actual performance i.e. it reveals the risk/return efficiency of a fund. With this ratio we can compare funds with similar risk characteristics to identify the most efficient portfolio. The higher the Sharpe ratio, the better the fund's historical risk-adjusted performance. Sharpe ratio should only be used when comparing funds in a common peer group.

When stock markets perform poorly, most equity funds will exhibit negative Sharpe ratios. Ranking negative Sharpe ratios can be misleading since a smaller negative is a larger number. This can lead to results that are ambiguous and logically backwards. Therefore we don’t display Sharpe ratios or include them in the Quartile ranking when the ratio is negative.
 
  Information Ratio
 
-0.02
value
3
quartile
The information ratio can be used as a measurement of the active investment manager’s skill. The fund with the higher information ratio has earned more value added per unit of departure from the benchmark. A ratio of 0.5 is considered a satisfactory measure while a negative value indicates that the fund underperformed its benchmark.
 
  Volatility
 
+2.04
value
4
quartile
Volatility (standard deviation) refers to the amount of uncertainty about the size of changes in funds value. A higher volatility means that the price of the fund can change dramatically in either direction in short time. A lower volatility indicates that the funds value does not fluctuate dramatically.

For example, for a fund with a volatility figure of 2% and a mean annual return of 5%, you would expect the return to be between 3% and 7% about 68% of the time, and between 1% and 9% about 95% of the time.