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T Rowe Global Focused Growth Equity A USD

Ranked 415 out of 3390 in - Global over 12 months
All calculations are in USD unless stated

Managed by

David J Eiswert

David J. Eiswert is the lead manager on the T Rowe Global Focused Growth Equity fund, operating out of T Rowe Price’s Baltimore office. Eiswert joined the company in 2003, having previously held positions at Fidelity Management and Research and Mellon Growth Advisors. He believes his fund is well-positioned to deal with changing market environments, with Eiswert employing a bottom-up fundamental investment style to identify investment opportunities. Eiswert received a Master’s in Economics from the University of Maryland and is a CFA Charter Holder.

Objective

The fund invests mainly in a diversified portfolio of stocks that have the potential for above average and sustainable rates of earnings growth. The companies may be anywhere in the world, including emerging markets. Specifically, the fund invests at least two-thirds of total assets in equity and equity-related securities of listed companies. Types of securities may include common stocks, preferred stocks, warrants, American Depository Receipts, European Depository Receipts and Global Depository Receipts. The fund does not invest more than one-third of its assets in debt and money market securities. The fund may use derivatives for hedging and efficient portfolio management.

Showing fund performance globally. You can view performance in individual jurisdictions.

Performance

Global over : 31/12/2017 - 31/12/2018
  • Rank 415/3390 Total Return
  • Rank 2824/3390 Standard Deviation
  • Rank 1581/3390 Max Drawdown
Fund Name Currency Loss
1579 TD Global Risk Managed Equity Advisor Srs USD

-16.4%

1579 Quadrus US & Intl Equity Class Q Series USD

-16.4%

1581 T Rowe Global Focused Growth Equity A USD USD

-16.4%

1581 OYSTER World Opportunities C USD HP

Currency exposure is hedged

Currency exposure is hedged

USD

-16.4%

1581 FFPB Dividenden Select USD

-16.4%

Total Return

Quarterly Performance

to 31/12/2018 Annual Q1 Q2 Q3 Q4
2018 -6.2% 2.4% 4.8% 2.1% -14.4%
2017 31.7% 9.8% 7.6% 3.0% 8.2%
2016 4.9% -4.0% 0.5% 10.1% -1.3%
2015 5.8% 4.6% 0.7% -8.8% 10.2%
2014 6.0% 1.8% 3.5% -1.2% 1.9%
2013 32.3% 8.0% -0.3% 12.9% 8.9%
2012 13.6% 16.7% -10.6% 6.7% 2.0%
2011 -12.7% 3.8% -2.7% -19.0% 6.7%
2010 10.3% 2.3% -12.3% 15.4% 6.6%
2009 44.0% -5.0% 24.7% 13.1% 7.6%
2008 -54.1% -10.5% 0.0% -24.7% -31.9%
2007 18.7% 3.1% 7.4% 5.1% 2.0%
2006 21.3% 7.2% -3.5% 4.7% 12.0%
2005 20.8% -3.5% 5.9% 10.2% 7.3%
2004 13.3% 2.1% 0.2% -2.0% 13.2%
2003 17.9% 3.3% 12.7%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. Austria
  2. Belgium
  3. Denmark
  4. Estonia
  5. Finland
  6. France
  7. Germany
  8. Guernsey
  9. Hong Kong
  10. Iceland
  11. Ireland
  12. Italy
  13. Jersey
  14. Korea
  15. Latvia
  16. Lithuania
  17. Luxembourg
  18. Netherlands
  19. Norway
  20. Portugal
  21. Singapore
  22. South Africa
  23. Spain
  24. Sweden
  25. Switzerland
  26. Taiwan
  27. United Kingdom

Fund Info

  • Launch date28/03/2003
  • Share Class size29Mn
  • Base currencyUSD
  • ISIN LU0143551892

Purchase Info

  • Min. initial investment15,000
  • Min. regular additional investment1,000

Charges

  • Annual management1.60%
  • Initial investment1.60%

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in USD).