Funds Centre

Performances as at: 15/08/2008

Parvest European Convertib Bd C

Fund overview

Key Features
NameParvest European Convertib Bd C
GIF Sector Convertible Europe
Morningstar Rating 2 stars
Fund Rating Not rated
ISIN lu0086913042
Launch Date 07/05/1998
ISA Plan No
Savings Plan No
Fund Manager
NameParibas Asset Management
Address60322 Frankfurt am Main BNP PARIBAS ASSET MANAGEMENT LUXEMBOURG
CityLuxembourg
CountryLuxembourg
Telephone+49 (0)69 71936361
Fax+352 46-46-41-41
Web Addresswww.am.bnpparibas.com
Key Figures
CurrencyEuro (Prev. Ecu) (XEC)
Annual Management Charge1.1%
Minimum Initial Investment (XEC) 1
Minimum Sub. Investment (XEC)1
1 Week Performance -0.05%
3 Year Total Return 14.12%
3 Year Volatility 2.15%

All performances are expressed as percentage change, calculated in sterling on a bid-to-bid basis with dividend income reinvested gross of any applicable taxes. Volatility is based upon monthly returns over a 3-year period. The larger the number the more volatile the monthly returns.

Fund Classification
SectorConvertible Europe
Asset SectorConvertibles
Specialist Sector Convertibles
Geographical FocusEurope
Fund Size Data
Fund Size (Last Updated :30/06/2008)488.21
Average in Sector (Convertible Europe)219.90
Largest in Sector488.21
Smallest in Sector18.22
Total Sector Size1319.38
Number of Funds in Sector6

Fund Sizes are the latest available sizes provided by the Asset Groups to Morningstar and are quoted in millions sterling.