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Goodwood Value Fund

Global Long/Short Fund

  • INDUSTRY-CENTRIC: Seven specific sectors - Industrials, Materials, Energy, Media, Transports, Telecommunication & Utilities
  • NIMBLE ACTIVE MANAGEMENT: Opportunistically long or short with disciplined risk management
  • TRUE GLOBAL DIVERSIFICATION: Concentrated, liquid portfolio of 35-50 names diversified globally

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Performance Page

Commentaries

Click a file below to download a commentary for the Goodwood Value Fund

  • February 2012
  • January 2012
  • December 2011

 

  • Fund Overview
  • Fund Performance
  • Investment Details

Fund Overview

Objective & Strategy:

The Fund's objective is to maximize returns through the purchase and short sale of primarily North American listed or over the counter-quoted securities.

This Canadian-based fund invests with a long bias in North American securities and generates its returns through deep value and activist investing. The Fund typically focuses on stocks in the consumer and industrial sectors and is relatively concentrated, with anywhere from 25 to 35 positions.

Ideal for:

The Fund is designed for long-term investors seeking higher returns with commensurate levels of market volatility.

Fund Performance

The Fund’s investment objective is to maximize returns through the purchase and short sale of primarily North American listed or over the counter quoted securities.


Historical Performance as of April 30, 2012

YearJanFebMarAprMayJunJulAugSepOctNovDecYear
20122.1%5.8%1.7%-0.3%9.5%
20112.0%-2.4%-2.6%-2.2%-2.2%-1.2%-1.1%-8.1%-8.0%2.3%0.0%-0.2%-21.7%
20100.4%3.5%3.9%0.2%-6.0%-8.0%4.3%-4.3%5.6%2.7%-2.3%1.4%0.4%
2009-2.3%-8.5%4.9%14.4%1.0%1.3%3.3%4.2%9.8%-0.4%4.0%7.8%44.7%
2008-7.5%-2.8%-8.8%1.4%-3.0%-1.7%-7.8%10.5%-16.8%-20.6%-0.2%2.2%-45.6%
20073.7%-0.3%-0.2%-0.3%1.2%1.3%-4.0%-1.4%1.2%2.4%-8.2%1.3%-3.7%
20061.9%-0.1%3.8%-2.1%-0.6%-2.6%2.0%1.9%0.0%4.4%-1.8%1.2%7.8%
20052.9%4.1%1.5%2.2%8.7%1.2%2.4%-0.5%-0.2%-4.8%5.9%0.9%26.5%
20040.1%1.6%-1.2%1.6%-5.5%-0.1%0.8%-2.8%0.3%4.2%4.6%8.2%11.8%
20032.3%-4.3%-5.7%7.3%4.4%4.6%2.6%5.3%-1.1%3.8%1.9%3.9%26.9%
20021.6%-2.0%0.9%-0.5%0.6%-3.6%-7.9%-4.5%-2.8%1.2%-1.7%-1.9%-19.2%
20011.0%2.6%-1.3%0.8%1.3%0.5%4.9%

Source: Arrow Capital Management Inc./Pertrac, 2012.

Investment Details

 
Fund Code FE 'A' Class AHP555
Fund Code FE 'F' Class AHP558
Management Fee 2.25%
Incentive Fee/Allocation 20%
Purchases Weekly
Redemptions Weekly
Prime Broker National Bank
Auditor PriceWaterhouseCoopers
Administrator: RBC Dexia
^ Minimum Investment for accredited investors $25,000
^ Minimum Investment with a Risk Acknowledgement Form (For residents of BC, Newfoundland and Labrador, New Brunswick, and Nova Scotia), $25,000

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Contact Information

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RBC Dexia Investors Services
Tel: 416.955.5771
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Fax: 416.955.5771

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