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efta-efta01114030DOJ Data Set 9OtherDS9 Document EFTA01114030
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efta-efta01114030
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B A M
BERKELEY ASSET MANAGEMENT
Oppida Investments Limited
October 2012 performance analysis and position overview
AFT
EFTA01114030
Table of Contents
1
PERFORMANCE TABLE
2
PERFORMANCE VERSUS CREDIT & EQUITIES LTM
3
PERFORMANCE VERSUS CREDIT & EQUITIES LAST 24 MONTHS
4
MONTHLY RETURNS CHART
5
OPPIDA VS PAN EUROPEAN BOND EUR HIGH YIELD FUNDS LTM
6
OPPIDA VS PAN EUROPEAN BOND EUR HIGH YIELD FUNDS LAST 3 YEARS
7
HIGH YIELD CREDIT EURO BOND FUND PERFORMANCE LTM TOP 20 FUNDS
8
HIGH YIELD CREDIT EURO BOND FUND RISK LTM TOP 20 FUNDS
A
EFTA01114031
Performance Table (Net of fees and expenses but gross of Irish corporation taxes paid by Oppida)
Monthly performance based on weighted average capital drawn, including 15% performance allocation above the hurdle rate.
Month
• Return
°/o Cummulative
YTD return
Month
• Return
°/o Cummulative
YTD return
Month
• Return
• Cummulative
YTD return
Month
0/0 Return
0/0 Cummulative
YTD return
Stand deviation
Sharpe ratio *
Jan-09
Feb-09
Mar-09
Apr-09
May-09
Jun-09
Jul-09
Aug-09
Sep-09
Oct-09
Nov-09
Dec-09
-
-
-
-
-1.07%
0.23%
2.71%
1.91%
1.47%
2.74%
0.75%
-
-
-
-
-1.07%
-0.85%
1.84%
3.78%
5.31%
8.20%
9.01%
-
-
-
-
-
-1.07%
-0.85%
1.84%
3.78%
5.31%
8.20%
9.01%
Jan-10
Feb-10
Mar-10
Apr-10
May-10
Jun-10
Jul-10
Aug-10
Sep-10
Oct-10
Nov-10
Dec-10
1.11%
0.06%
2.38%
1.57%
-0.97%
-0.48%
1.71%
0.96%
1.35%
1.23%
0.92%
1.34%
10.22%
10.29%
12.91%
14.69%
13.58%
13.03%
14.9r/o
16.07%
17.64%
19.09%
20.18%
21.79%
1.11%
1.17%
3.58%
5.21%
4.19%
3.69%
5.47%
6.48%
7.92%
9.24%
10.25%
1172%
Jan-11
Feb-11
Mar-11
Apr-11
May-11
Jun-11
Jul-11
Aug-11
Sep-11
Oct-11
Nov-11
Dec-11
1.63%
1.65%
0.41%
1.11%
0.58%
-0.56%
0.13%
-3.43%
-0.89%
1.97%
-1.42%
0.85%
23.77%
25.81%
26.33%
27.72%
28.47%
27.75%
27.92%
23.54%
22.44%
24.85%
23.07%
24.13%
1.63%
3.30%
3.72%
4.87%
5.48%
4.90%
5.03%
1.43%
0.53%
2.51%
1.05%
1.91%
Jan-12
Feb-12
Mar-12
Apr-12
May-12
Jun-12
Jul-12
Aug-12
Sep-12
Oct-12
Nov-12
Dec-12
3.37%
2.74%
1.81%
0.59%
0.30%
0.86%
2.15%
2.53%
2.09%
1.94%
28.31%
31.82%
34.21%
35.01%
35.41%
36.58%
39.52%
43.05%
46.04%
48.87%
3.37%
6.20%
&13%
8.77%
9.09%
10.03%
12.40%
15.24%
17.65%
19.93%
4.60%
2.25
*Risk free rate
2.00%
A M
EFTA01114032
PERFORMANCE VERSUS CREDIT & EQUITIES LTM
M
25%
•-• -
Oppida Investments Limited
CREDIT SUISSE
WESTERN EUROPEAN
INDEX
INSTITUTIONAL
LEVERAGED LOAN
20%
15%
BOA Merrill Lynch Euro High Yield TR index
•
, Stoxx Europe 600 Index (Bloomberg SXXP Index)
.•••
e
••
••
••
10%
5%
..
...
de
.... .....
-5%
-10%
^_,
s
s
%
%
%
%
%
....'
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,s,
:'
..e:"
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4.1%.'
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g
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4'
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C #
l
41
0,v
N.
%
IN.
11
It
%
'V
c1
4 ,
'V
N1
&
0
OPPIDA
B A
EFTA01114033
PERFORMANCE VERSUS CREDIT & EQUITIES LAST 24 MONTHS
30%
•••• •••• Oppida Investments Limited
BOA Merrill Lynch Euro High Yield TR index
25%
CREDIT SUISSE INSTITUTIONAL WESTERN EUROPEAN LEVERAGEDLOAN INDEX
/
/
I
StoocEurope-6004ndex (illoomberg-SXXP Index)
20%
/
/
/
/
15%
....
00 ... ••• ""'
I
I
10%
/
.".
♦
,
•
0-
00
%. ... 40 I
%. .., •••
0%
I
t
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5%
-10%
-15%
-20%
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t
OPPIDA
B A M
EFTA01114034
MONTHLY RETURNS CHART
■ Oppida Investments Limite
■ CREDIT SUISSE INSTITUTIONAL WESTERN EUROPEAN LEVERAGED LOAN INDEX
■ BOA Merrill Lynch Euro High Yield TR index
OPPIDA
EFTA01114035
25
Oppida vs Pan European — Bond EUR High Yield funds LTM
20
5
0
•
•
•
•
Oppida
•
•
•
•
•
• •
•
BofA Merrill Lynch
Euro High Yield TR
•
•
•
•
•
•
* •
•
•
•
•
•
•
•
•
•
•
•
•
•
••
• ••
*Sector Average
•
•
•
•
•
•
•
0
•
•
•
0.5
1
1.5
2
2.5
3
Standard deviation of monthly returns % LTM
3.5
4
4.5
OPPI IY\
Pan European - Bond EUR High Yield
B A
EFTA01114036
50
Oppida vs
Yield funds
40
•
y
•
30
en
le
-I
=
...
w
020
I—
Pan European — Bond EUR High
Last 3 years
Pioneer
•
No Ens
•
•
Oppida
• *
ElofA Merrill
Euro High
•
•
•
•
•
•
•
•
•
•
•
.
Sector Aver
Funds EuroHigh Yield
EUR
Lynch
Yield TR
•
♦
C
•
E
•
M
•
♦
•
.
•
•
BFC Masterfund High Yield
•
ILLovi_Volatikty lEUR)
♦
•
•
10 -
0
0
0.5
1
1.5
2
2.5
3
Standard deviation of monthly returns % Last 3 years
3.5
4
4.5
5
OPPID
A
Pan European — Bond EUR High Yield
13 A
EFTA01114037
HIGH YIELD CREDIT EURO BOND FUND PERFORMANCE LTM TO 31 OCTOBER 2012
FUND
Total Return
LTM
1M
3M
Risk (Stand deviation)
LTM
3M
Rank
1.31
3.00
2.50
LTM
0.31
0.20
0.40
3M
Oppida Investments
19.2
1.94
6.7
BofA Merrill Lynch Euro High Yield TR
Bond EUR High Yield Sector Average
FUND
19.1
14.0
LTM
2.1
1.7
1M
7.1
5.2
3M
1
UBS (Lux) Bond Fund - Euro High Yield I-B-acc
21.6
2.6
8.2
3.37
0.31
2
AllianceBernstein-Euro High Yield Pf S EUR
21.5
2.1
8.2
3.25
0.54
3
Schelcher Prince Haut Rendement I
21.2
3.1
11.0
3.95
0.35
4
Aberdeen Global II - Euro High Yield Bond 12 Acc
21.2
2.3
6.4
2.37
1.15
5
BNP Paribas 11 Bond Euro High Yield IH NOK Cap
20.8
1.6
5.5
3.35
1.67
6
BPI High Income Bond 1
19.7
2.0
5.1
2.30
0.32
7
Alandsbanken Euro High Yield B
18.9
2.6
6.9
3.33
0.33
8
HSBC GIF Euro High Yield Bond IC EUR
18.4
2.0
5.8
3.60
0.15
9
Aberdeen Global - Select Euro High Yld Bd 12 Acc
18.2
1.9
7.6
3.69
0.84
10
Babson Capital European High Yield Bond S EURAcc
18.0
2.0
6.5
2.82
0.45
11
Dexia Bonds Euro High Yield I Cap
17.3
1.9
5.6
2.29
0.08
12
Threadneedle European High Yld Bd Inst Gr Acc EUR
17.1
1.7
5.6
2.70
0.23
13
Natixis Euro High Income Fund IA
16.6
2.3
6.1
2.87
0.26
14
Nordea Multi Label SICAV European High Yield Bond
16.6
2.3
7.5
3.23
0.15
15
Templeton Euro High Yield I (acc) EUR
16.5
2.0
6.0
2.68
0.08
16
PRIMA Fix High Yield Y
16.5
1.9
6.1
3.57
0.17
17
Allianz Euro High Yield I
16.4
1.6
4.6
2.79
0.15
18
Raiffeisen-Europa-High Yield RA
16.3
1.9
5.6
2.49
0.44
19
L Euro High Yield
16.1
1.8
5.9
3.13
0.31
20
Zantke Euro High Yield AMI 1(a)
16.0
2.3
5.0
2.30
0.60
Pan European - Bond EUR High Yield
Top 20 out of 67 funds
EFTA01114038
HIGH YIELD CREDIT EURO BOND FUND RISK LTM TO 30 SEPTEMBER 2012
FUND
Risk (Stand deviation)
LTM
3M
Total Return
LTM
1M
3M
19.23
1.94
6.70
Oppida investments
1.31
0.31
BofA Merrill Lynch Euro High Yield TR
3.00
0.20
19.1
2.10
7.10
Bond EUR High Yield Sector Average
2.50
0.40
14
1.70
5.20
Rank
FUND
LTM
3M
LTM
1M
3M
1 European Credit ECM High Yield I Acc EUR
0.63
0.16
6.00
0.90
3.10
2 BFC Masterfund High Yield Low Volatility (EUR)
0.66
0.12
5.00
0.30
1.00
3 Petercam L Bonds EUR High Yield Short Term B
0.85
0.54
9.00
1.40
2.60
4 Hugau High Yield Recovery
1.13
0.56
8.90
1.30
3.00
5 Pioneer Funds Euro Strategic Bond I No Dis EUR
1.16
0.52
10.90
1.40
2.60
6 BNPP B Fund II Basket of High Yield Bonds 8 Dis
1.40
0.28
10.00
1.20
2.80
7 Saastopankki Yrityslaina B
1.63
0.19
10.30
0.80
2.80
8 Ecofi High Yield
1.64
1.02
14.10
1.40
4.70
9 Invesco Extra Income Bond T
1.66
0.13
13.20
1.10
3.80
10 NORD/LB AM High Yield
1.68
0.20
10.60
0.70
2.60
11 MMA Multigestion Haut Rendement
1.74
0.44
9.90
0.60
0.90
12 Regard Haut Rendement
1.86
0.35
14.10
1.50
4.00
13 Degroof Bonds EMU Quants A Cap
1.92
0.20
10.10
0.80
2.80
14 Finlandia High Yield Plus
1.93
0.51
12.40
1.40
4.40
15 Tikehau Credit Plus A
1.97
0.19
10.90
1.00
3.10
16 KEPLER High Yield Corporate Rentenfonds A
1.98
0.30
13.10
1.50
4.90
17 Sabadell BS Euro High Yield, Fl
2.04
0.39
11.80
1.70
4.50
18 BNPP B Fund II Basket of High Yield Bonds7D
2.06
0.09
6.00
0.90
3.10
19 ESPA BOND CORPORATE BB (T)
2.09
0.65
12.70
1.50
3.90
20 Pharus SICAV - Bond Opportunities B
2.14
0.17
8.40
1.20
3.90
I OPPIDA
Pan European - Bond EUR High Yield
Top 20 out of 67 funds
A NI
EFTA01114039
Important Notice & Disclaimers
This document is being issued for information purposes only. This document does not constitute an offer to issue to buy or invest in the Fund(s).
You should appreciate that the value of shares in the Fund(s), and any income from them, may go down as well as up and that investors may not receive back, on
redemption of his shares, the amount invested. Past performance is not necessarily indicative of future performance. Where an investment involves a foreign
currency, it may be subject to fluctuations in value due to movements in exchange rates. These changes to exchange rates may also cause the value of an underlying
investment to go down as well as up.
The shares are not dealt in on a recognized exchange or designated investment exchange for the purpose of the Financial Services and Markets Act 2000 of the
United Kingdom (the "Act"), nor is there a market maker in the shares. It may therefore be difficult for the investor to dispose of his shares otherwise than by way
of redemption or to obtain reliable information about the extent of the risks to which he is exposed.
This document should not be considered as legal, tax or any other advice. Opinions expressed whether in general or in both on the performance of individual funds
and in a wider economic context represent the views of the contributor at the time of preparation.
This document and the information contained therein constitute a financial promotion for the purposes of the Act and the rules of the FSA. This document is issued
both inside and outside the UK only to and/or directed at persons who are professional clients or eligible counterparties for the purposes of the FSA's Conduct of
Business Sourcebook.
You will only be able to invest after receiving a final prospectus and subscription document. Any decision to invest should be based on the final prospectus
document and you should take independent legal advice if necessary.
A number of assumptions have utilised in the above presentation. For full details of the assumptions used please contact Berkeley Asset Management LLP.
This document is exempt from the scheme promotion restriction (in section 238 of the Act) on the communication of invitations or inducements to participate in
Unregulated Collective Investment Schemes on the grounds that it is being issued to and/or directed at only the types of persons referred to above.
This document has been provided to you solely for your information and may not be copied, reproduced, further distributed to any other person or published, in
whole or in part for any purpose. Any other person receiving this document should not rely upon its content.
OPPIDA
A
EFTA01114040
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