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Total Returns (p.a.) as at 31 July 10* |
* Past
performance is not a reliable indicator of future
performance.
The Total Returns
of the OC Funds over specified periods are shown in
the above table. This table contains information
regarding Total Returns to 31 July 2010. Total
Returns are calculated after taking into account
performance fees. Where OC Funds generates a return
on the OC200 Fund over and above the performance
hurdle (S&P/ASX200 Accumulation Index) in a quarter, a
performance fee of 10.25% of all profits above this
level is charged to the Fund directly. Where OC Funds
generates a return on The Premium and Dynamic Funds
over and above the performance hurdle of 15% in any
financial year, a performance fee of 20.5% of all
profits above this level is charged to the Funds
directly. Where OC Funds generates a return on the
Concentrated Fund over and above the performance
hurdle of 0% in any financial year (subject to a high
water mark) , a performance fee of 10.25% of all
profits above this level is charged to the Fund
directly. Between 1 July 2004 and 30 June 2009 where
OC Funds generated a return on the Concentrated Fund
over and above the performance hurdle of 0% in any
financial year (subject to a high water mark), a
performance fee of 20.5% of all profits above this
level was charged to the Fund directly. Before 1 July
2004, performance fees were not paid out of the Funds
but billed by OC Funds directly to investors. In this
table, the Total Returns for the period prior to 1
July 2004 have been adjusted to reflect the paid
performance fees as if the fees were paid out by the
Funds. The Total Return performance figures quoted
are historical, calculated using end of month mid
prices and do not allow the effects of income tax or
inflation. Total Returns assume the reinvestment of
all distributions. The performance is quoted net of
all fees and expenses. The Indices do not incur these
costs. This information is provided for general
comparative purposes. Positive returns, which the
Funds are designed to provide, are different regarding
risk and investment profile to index returns.
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