Causeway Funds/Causeway Capital Management LLC

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as of 9/2/2010

(NAV, %change)
International Value Fund Investor Class (CIVVX) $11.09     .63%    
Institutional Class (CIVIX) $11.17     .63%    

Emerging Markets Fund Investor Class (CEMVX) $10.27     .1%    
Institutional Class (CEMIX) $10.20     %    

Global Value Fund Institutional Class (CGVIX) $7.51     1.07%    

International Opportunities Fund Investor Class (CIOVX) $9.98     .5%    
Institutional Class (CIOIX) $9.98     .5%    
The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth less than their original cost and current performance may be lower than the performance quoted. Please click the link above for standardized and month-end performance.







Profile

Fund Facts - As of 6/30/10
. Investor Shares Institutional Shares
Ticker Symbol CIVVX CIVIX
CUSIP 14949P109 14949P208
Inception Date October 26, 2001 October 26, 2001
Share Class Assets $899.2m $902.2m
Minimum Investment* $5,000 $1,000,000
Sales Charge None None
Expense Ratio 1.23% 0.99%
Dividend Frequency Annual Annual
Capital Gain Frequency Annual Anuual
* Financial intermediaries like Charles Schwab™, Fidelity™ and TD Waterhouse™ may impose different investment minimums


Asset Allocation - As of 6/30/10

 Stocks 97.2%
 Cash 2.8%
 Total 100.0%


Characteristics - As of 6/30/10
  Fund MSCI EAFE
FY2 Price/ Earnings 9.6 10.1
Price/ Book Value 1.4 1.4
Dividend Yield 3.3 3.2
No. of Holdings 60 964
Wtd Avg Mkt Cap (Mn $US) $31,501 $36,594

* Represents weighted average dividend yield of portfolio securities; not indicative of dividends paid by Fund to shareholders.

The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth less than their original cost and current performance may be lower than the performance quoted. For more information, click here to view the prospectus.

Please click here for standardized and month-end Fund performance.



Sector Breakdown - As of 6/30/10
. % of Total MSCI EAFE
Industrials 22.6 12.3
Financials 19.5 24.4
Materials 14.4 10.1
Consumer Discretionary 12.3 10.3
Health Care 7.8 9.0
Energy 7.3 7.1
Telecommunication Services 4.6 5.6
Utilities 3.9 5.5
Consumer Staples 2.8 10.6
Information Technology 2.0 5.2
TOTAL 100.0 100.0


Top 10 Countries - As of 6/30/10
Japan 19.3 23.3
France 13.3 9.8
Germany 10.4 7.8
Netherlands 8.2 2.6
Italy 2.5 2.8
Hong Kong 1.9 2.6
Norway 1.7 0.7
Canada 1.1 0.0
Ireland 1.0 0.3
Greece 0.9 0.3
   


Top 10 Holdings - As of 6/30/10
Security Country Industry % of Total
HYUNDAI HEAVY INDUSTRIES South Korea Capital Goods 3.1
SANOFI-AVENTIS France Pharmaceuticals & Biotechnology 2.9
REED ELSEVIER NV Netherlands Media 2.9
TNT NV Netherlands Transportation 2.7
TECHNIP S.A. France Energy 2.7
FANUC LTD Japan Capital Goods 2.6
LINDE AG Germany Materials 2.6
AKZO NOBEL Netherlands Materials 2.5
SIEMENS AG Germany Capital Goods 2.5
UBS AG-REG Switzerland Diversified Financials 2.4

Holdings are subject to change.



Investing involves risk including loss of principal. In addition to the normal risks associated with investing, international investments may involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles or from economic or political instability in other nations. Emerging markets involve heightened risks related to the same factors as well as increased volatility and lower trading volume. Diversification does not prevent all investment losses.

To determine if a Fund is an appropriate investment for you, carefully consider the Fund's investment objectives, risk factors, charges and expenses before investing. This and other information can be found in the Fund's prospectus, which may be viewed and downloaded by clicking here or by calling 1-866-947-7000. Read it carefully before investing.

There is no guarantee that the Causeway Funds will meet their stated objective. The Funds are available to U.S. investors only. There is a 2% redemption fee on the value of direct investments withdrawn within 60 days. This is to protect shareholders from short-term investors who can hurt performance for long-term shareholders. Many of the financial intermediaries through whom shareholders invest in the Funds also apply the Funds' redemption fee or other frequent trading restrictions.

The Causeway Funds are distributed by SEI Investments Distribution Co. (SIDCO). SIDCO is not affiliated with Causeway Capital Management LLC.