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Why invest in this fund?
• Potential for enhanced returns
• Excellent diversification tool
• Provides exposure to broad European market
• Low expense ratio
• Dollar denominated
• Managed by investment team based in Europe
Investment strategy
This fund offers exposure to the broad Western European markets
considering stocks of all market capitalizations. It invests in
a wide range of industry sectors, seeking companies with good long-term
prospects and innovative products. Our approach can be characterized
as bottom-up: first, we use a quantitative model that screens and
ranks securities based on valuation and momentum. Then we per-form
an in-depth review of the top-ranked securities, which includes
understanding the firm’s financial statements and visiting
selected companies.
Western Europe as diversification tool
Some of the classical arguments in support of adding a region to
one’s portfolio are the possible benefits of diversification
and the opportunity for enhanced returns. While these two arguments
remain valid, there are other, Europe-specific reasons why this
region is a good investment: European corporations have transformed
to improve competitiveness, and different economic cycles make if
possible to take advantage of different opportunities.
Meet the manager
Frank Heise joined Metzler in 2006 as Senior Portfolio Manager.
He is a member of the equity strategy team and is primarily responsible
for the European core product. Previously, Mr. Heise held the position
of senior fund manager at Union Investment GmbH in Frankfurt. He
was responsible for European institutional mandates and mutual funds,
as well as for the development of the investment style and strategy.
As an equity analyst he covered high dividend stocks and the telecommunications
sector. Mr. Heise holds a degree in business administration from
the University of Trier/Germany.
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©2008 Metzler/Payden, LLC. All rights reserved.
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