Category: European Equities
Aim of the fund
The Cazenove European A Acc Fund aims to achieve long-term capital growth by investing in any or all European markets, excluding the UK, and any or all economic sectors.
Performance
The Cazenove European A Acc Fund has featured in the top quartile (top 25%) in its sector over 3 and 5 years.
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Fund Manager
Chris Rice has managed the Cazenove European A Acc Fund since 2002. He is head of European (ex UK) equities, and manages Cazenove European Fund (onshore), The Cazenove European Equity (ex UK) Fund (offshore) and The Cazenove European Equity Absolute Return Fund. He had previous experience with HSBC Asset Management (Europe) Ltd.. He graduated from Salford University in Finance and Accounting, and has 16 years of investment experience.
Sector
European equities excluding the UK
Rating:
Crown rating of 3
Launch:
28th March 1989
Comparative Index
FTSE World Europe ex UK
Minimum Investment:
£25,000
Asset Weightings
93.30% European Equities
6.70% Money Markets
Top Holdings by sector
Financial services, consumer products, healthcare, services, utilities, telecoms, industrials, oil and gas, basic materials, money markets.
Top Holdings by region
Europe ex UK 88.70%
Money Market 6.70%
International 4.60%





