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M&G Pan European Select A Euro Acc

Ranked 43 out of 203 in - Europe over 12 months
All calculations are in EUR unless stated

Managed by

John William Olsen

John William Olsen, a Danish national, joined M&G in April 2014, and was appointed fund manager of the M&G Global Select Fund and M&G Pan European Select Fund in July 2014. John William joined M&G from Danske Capital, where from 2002 he had managed non-domestic equity portfolios, including the Global Stock Picking and Global Select equity funds, and also the European Select strategy. He joined Danske Capital in 1998 as a fund manager on the domestic Danish equities team, and in 2000 also became a global sector analyst focusing on technology and telecommunications stocks. John William gained a BA in business economics and then an MSc in finance and accounting from Copenhagen Business School.

Objective

The Fund invests wholly or mainly in European (including UK) companies. The Fund may also invest in companies outside Europe but only when these companies derive the majority of their income from European activity. The objective is to maximise long term total return (the combination of income and growth of capital).

Showing fund performance in Netherlands View performance globally

Performance

Europe over : 30/06/2017 - 30/06/2018

Total Return

Quarterly Performance

to 30/06/2018 Annual Q1 Q2 Q3 Q4
2018 -4.9% 3.2%
2017 17.4% 5.7% 3.4% 4.9% 2.5%
2016 1.3% -5.2% 0.1% 4.7% 1.9%
2015 14.0% 19.5% -1.9% -6.4% 3.8%
2014 4.3% 1.8% 2.4% -1.1% 1.1%
2013 16.9% 7.4% -2.7% 6.4% 5.3%
2012 20.5% 11.2% -3.7% 5.9% 6.3%
2011 -12.9% -3.8% -0.1% -16.0% 7.9%
2010 11.6% 6.2% -11.0% 9.3% 8.1%
2009 38.3% -3.6% 20.7% 18.0% 0.7%
2008 -44.2% -15.7% 4.1% -15.8% -24.5%
2007 1.7% 4.0% 6.3% -2.9% -5.2%
2006 26.0% 15.8% -6.1% 5.7% 9.5%
2005 25.6% 5.9% 6.1% 7.7% 3.8%
2004 16.7% 7.7% 1.5% 1.0% 5.7%
2003 11.6% -13.3% 15.9% 1.8% 9.1%
2002 -32.8% -0.8% -17.2% -21.4% 4.2%
2001 -17.6% -11.8% 2.8% -19.3% 12.7%
2000 10.5% 7.1% 2.5% 3.4% -2.7%
1999 24.3% 5.5% 5.2% 0.1% 11.9%
1998 15.9% 22.2% 4.9% -18.5% 11.0%
1997 39.4% 12.1% 9.5% 8.0% 5.2%
1996 30.0% 6.4% 6.9% 0.3% 14.0%
1995 4.4%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. Austria
  2. Belgium
  3. Chile
  4. Denmark
  5. Finland
  6. France
  7. Germany
  8. Ireland
  9. Italy
  10. Korea
  11. Luxembourg
  12. Macau
  13. Netherlands
  14. Norway
  15. Portugal
  16. Singapore
  17. Spain
  18. Sweden
  19. Switzerland
  20. Taiwan

Fund Info

  • Launch date28/11/2001
  • Share Class size21Mn
  • Base currencyEUR
  • ISIN GB0030927924

Purchase Info

  • Min. initial investment1,000
  • Min. regular additional investment75

Charges

  • Annual management1.50%
  • Initial investment1.50%

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