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Product Profile

  • Number of accounts 2
  • Product assets US$144.7 million
  • Years managed 9
  • Benchmark
    • Dow Jones Sustainability World Index

Key Investment Professionals

matthew bowyer
  • Bozena Jankowska
  • Head of Sustainability Research Team
  • Investment Career Began: 1997
lucy macdonald
  • Matthew Bowyer, CFA
  • Portfolio Manager
  • Investment Career Began: 1987
lucy macdonald
  • Paul Schofield
  • Portfolio Manager
  • Investment Career Began: 1996
lucy macdonald
  • Caroline Howe
  • Sustainability Research Analyst
  • Investment Career Began: 2005
lucy macdonald
  • Barbara Evans
  • Sustainability Research Analyst
  • Investment Career Began: 2006

Overview

The RCM Global Sustainability strategy aims to attain capital growth over the long term, principally through investments in global stock markets, concentrating on companies with sustainable business practices. RCM’s Sustainability Research style is principally thematically driven, identifying “material” environmental and social trends; taking a “best in class” approach to stock picking on a sector basis.

Investment Process

The RCM Advantage

Performance**

performance

Representative Account Characteristics - Supplemental Information

Beta

1.1

P/E (Next 12 Mo. EPS)

12.5x

Earnings Growth (Next 3-5 yrs)

15.5%

P/E (Next 12 Mo.) to Growth (Next 3-5 yrs)

0.8x

Wgtd Avg Market Cap

US$84.1 billion

Number of Holdings

67

Top Ten Holdings

BG Group PLC

3.3%

Rio Tinto PLC

3.2%

Nestle SA

3.2%

Procter & Gamble Co

2.8%

BHP Billiton PLC

2.7%

Schlumberger Ltd

2.7%

Telefonica SA

2.4%

Gamesa Corp Tecnologica SA

2.4%

Cisco Systems Inc

2.3%

Siemens AG

2.2%

Sector Composition (% of Portfolio and Benchmark) - Supplemental Information

Regional Allocation (% of Portfolio and Benchmark)† - Supplemental Information

Performance Composite Statistics

 RCM Global Sustainability Composite – UK Sterling

 

 

 

Period

Composite

Gross

Return

(%)

Composite

Net

Return

(%)

Dow Jones

Sustainability

World Index

(%)

 

 

No. of

Accounts

 

Composite

Dispersion

(%)

 

Period-End

Total Assets

(£ M)

 

Total Firm

Assets

(£ M)

2007

15.63

15.00

9.79

2

N/A♦

80.6

114,212

2006

7.40

6.64

8.84

2

N/A♦

67.9

84,243

2005

27.91

27.18

22.05

2

N/A♦

53.0

85,934

2004

5.64

5.15

5.03

2

N/A♦

32.7

66,895

2003

16.27

15.44

22.82

2

N/A♦

40.2

68,788

2002

-29.61

-30.22

-28.84

2

N/A♦

7.9

69,433

2001

-24.12

-24.40

-12.89

1

N/A♦

15.7

96,919

2000

-7.33

-7.62

-10.39

1

N/A♦

21.7

55,217

RCM Global Sustainability Composite – USD*

 

 

 

Period

Composite

Gross

Return

(%)

Composite

Net

Return

(%)

Dow Jones

Sustainability

World Index

(%)

 

 

No. of

Accounts

 

Composite

Dispersion

(%)

Period-End

Total Assets

(£ M)

 

Total Firm

Assets

(USD M)

2007

17.60

16.99

11.67

2

N/A♦

160.3

168,131

2006

22.45

21.56

24.08

2

N/A♦

132.8

164,876

2005

14.37

13.73

9.12

2

N/A♦

91.0

147,527

2004

13.32

12.77

12.83

2

N/A♦

62.7

128,432

2003

29.31

28.34

36.41

2

N/A♦

72.0

123,142

2002

-22.14

-22.81

-21.26

2

N/A♦

12.7

111,780

2001

-26.07

-26.34

-15.54

1

N/A♦

22.9

141,056

2000

-14.11

-14.38

-16.90

1

N/A♦

32.4

82,483