Causeway Funds/Causeway Capital Management LLC

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as of 1/5/2009

(NAV, %change)
International Value Fund Investor Class (CIVVX) $8.73     -1.49%    
Institutional Class (CIVIX) $8.77     -1.48%    

Emerging Markets Fund Investor Class (CEMVX) $5.68     1.76%    
Institutional Class (CEMIX) $5.65     1.95%    

Global Value Fund Institutional Class (CGVIX) $5.38     -1.12%    
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.







Privacy Policy

The Causeway Capital Management Trust (the “Trust”) recognizes and respects the privacy concerns of its shareholders. The Trust collects nonpublic personal information about you in the course of doing business with you. “Nonpublic personal information” is personally identifiable financial information about you. For example, it includes information regarding your social security number, account balance, bank account information and purchase and redemption history.

The Trust collects this information from the following sources:

  • Information we receive from you on applications or other forms, and
  • Information about your transactions with us and our service providers, or others.

The information the Trust may disclose.
The Trust only discloses nonpublic personal information the Trust collects about shareholders as permitted by law. For example, the Trust may disclose nonpublic personal information about shareholders to nonaffiliated third parties such as:

  • To government entities, in response to subpoenas or to comply with laws or regulations.
  • When you, the shareholder, direct the Trust to do so or consent to the disclosure.
  • To companies that perform necessary services for the Trust, such as data processing companies that the Trust uses to process your transactions or maintain your account.
  • To protect against fraud, or to collect unpaid debts.


Information about former shareholders.
If you decide to close your account(s), we will adhere to the privacy policies and practices described in this notice. How the Trust safeguards information.


How the Trust safeguards information.
The Trust conducts its business through trustees, officers and third parties that provide services pursuant to agreements with the Trust. The Trust, itself, does not have any employees. The Trust restricts access to your personal and account information to those persons who need to know that information in order to provide services to you. The Trust or its service providers maintain physical, electronic and procedural safeguards that comply with federal standards to guard your nonpublic personal information.


Should you have any questions regarding Causeway Capital Management Trust’s privacy policies and practices, please contact a Causeway Shareholder Services Representative at 1-866-947-7000.

Investment in foreign securities involves special risks including fluctuating foreign exchange rates, foreign government regulations, differing degrees of liquidity and the possibility of substantial volatility due to adverse political, economic or other developments.The Fund is available to U.S. investors only. You may view on-line or print a prospectus for the Causeway International Value Fund. It contains more complete information including management fees, charges and expenses and the Fund's risks and investment considerations. Please read it carefully before you invest or send money. Distributed by SEI Investments Distribution Co.,Oaks, PA © 2002 Causeway Funds. All rights reserved. *There is a 2% redemption fee on investments withdrawn within 90 days. This is to protect shareholders from short-term investors who can harm the Fund and increase transaction costs.


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 protect against loss.

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

There is no guarantee that the Funds will meet their stated objective. The Funds are available to U.S. investors only. There is a 2% redemption fee on the original 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.