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The Top Performers
These equity mutual funds have earned three upward-pointing arrows in the
BUSINESS WEEK Offshore Fund Scoreboard. To get this rating, they needed to
deliver superior risk-adjusted total returns over the past five years.
FUND AVERAGE ANNUAL SECTOR RISK**
TOTAL RETURN*
BARCLAYS ASF SE ASIA 27% F. East/Pacific 20 ++
F&C AMERICAN SM. COS. 21 N. America 40 ++++
FIDELITY HONG KONG & CHINA 30 Hong Kong 20 ++
FIDELITY MALAYSIA 29 Malaysia 10 +
FIDELITY NORDIC 24 Scandinavia 30 +++
FIDELITY THAILAND 28 Thailand 10 +
FLEMING FLAGSHIP AMERICA 24 U.S. 40 ++++
GAM ARBITRAGE 15 U.S. 40 ++++
GENERALPART B 23 Luxembourg 40 ++++
GT HEALTHCARE B 27 U.S. 20 ++
INVESCO ASEAN DEVELOPMENT 31 Asia 20 ++
JF AMERICAN GROWTH 23 U.S. 40 ++++
JF THAILAND 29 Thailand 10 +
JF MALAYSIA 30 Malaysia 10 +
MANILA (CAYMAN) 31 Philippines 10 +
NATIONAL MUTUAL PACIFIC 26 F. East/Pacific 20 ++
ORION 19 N. America 40 ++++
PACTUAL INFINITY 34 Brazil 10 +
REGENT UNDERVALUED ASSETS 19 Global 40 ++++
SCHRODER INTL. SELECT
U.S. SMALLER CO. 26 U.S. 40 ++++
TSB OIF U.K. EQUITY 22 U.K. 30 +++
*Sept. 30, 1991-Sept 30, 1996, includes appreciation, reinvestment of
dividends, capital gains
**The number of +'s expresses the degree of riskiness. Four +'s indicate the
least risk
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Updated June 14, 1997 by bwwebmaster
Copyright 1996, by The McGraw-Hill Companies Inc. All rights reserved.
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