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Forward Funds

Forward Emerging Markets Fund

Institutional Class

Investment Strategy
Updated as of:
June 30, 2008
 
 
 
  An investment portfolio of 70-120 emerging market equities
 
use a bottom-up and value-oriented approach to identify and invest in emerging market companies that are undervalued compared to companies in the developed world
quantitative and qualitative screens help identify 1,300 core companies based on financial liquidity and relative financial strength versus other companies in their sector
a team of 14 emerging market specialists work to analyze investments and create the portfolio using a long-established, proprietary database
the Fund is managed using an active and disciplined investment style
 
  Investment Process
 
  Identify companies in emerging markets that are undervalued and show strong fundamentals
 
start with a universe of approximately 6,100 companies in emerging markets
employ a series of screens to narrow the universe down to 1,300 core companies that meet the Fund's investment guidelines
review these companies to determine those which have the best potential for growth and return
use bottom-up, top-down and thematic analysis to ensure investment candidates meet the Fund's investment guidelines and employ risk control measures to address changing markets
  Perform qualitative and quantitative screening to narrow the investment universe to the core company candidates
 
use data and research techniques to analyze the finances and potential performance of each core company

two primary quantitative tests review:

  1. the strength of each company's balance sheet
  2. the potential of the company to generate cash flow
companies are then ranked using proprietary valuation techniques
  Deep fundamental analysis is conducted to determine ideal investment candidates
 
review of macroeconomic risk

company and management team visits to assess core companies

  A portfolio is created with approximately 70-120 equities
 
only Pictet's top-ranked companies are included in the portfolio

active and disciplined investment style to continually review investments against changing market conditions and investment performance

approximately 80% of stock holdings have liquidity of greater than $10M per day
  Class: Institutional
Change to: Investor
Change to: Class A
   
PDF Fund Fact Sheet
Overview
Category: Emerging Markets
Ticker Symbol: PTEMX
CUSIP: 349913814
Benchmark: MSCI Emerging Markets Index
Inception: October 4, 1995
Net Assets: $107.3 Million
Load Fee: No Load
Gross Expense Ratio: 1.84%
Net Expense Ratio: 1.39%1
Minimum Investment
Initial: $100,000
Statistics
Price/Book:* 3.51
Forward P/E:* 10.05
EPS Growth Rate:* 29.55%
Long-Term Debt-to-Equity:* 0.00%
Weighted Avg. Market Capitalization:* $63.4 Billion
Avg. Capitalization:* $33.5 Billion
Beta: 0.98
R-Squared: 0.97
Number of Holdings: 108
Annualized Turnover: 175.01%

1The Fund’s investment advisor has contractually agreed to waive a portion of its fees and reimburse other expenses until April 30, 2009, in amounts necessary to limit the Fund’s operating expenses (exclusive of brokerage costs, interest, taxes, dividends and extraordinary expenses) for Institutional Class shares to an annual rate (as a percentage of the Fund’s average daily net assets) of 1.39%.

*Data refers to the Fund’s holdings and not to the Fund itself.

Price/Book Ratio and Price/Earnings represent equity securities within the Fund's portfolio, and are not intended to demonstrate Fund growth income earned by the Fund, or distributions made by the Fund.

EPS Growth Rate represents current year consensus estimates weighted by distribution of the portfolio.

Beta is a measure of risk which shows the Fund’s volatility relative to its benchmark index.

R-Squared reflects the percentage of a Fund’s movements that are explained by movement in its benchmark index.

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