CRM UF Equity Opportunities


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About CRM UF Equity Opportunities

The investment objective of the Fund is to achieve long-term capital appreciation primarily through investments in US equity and equity related securities throughout the market capitalization range and without sectorial bias.

1.2%
CRM US Equity Opportunities S USD 3 year Return
Manager : Cramer Rosenthal McGlynn

Fund Objective

The investment objective of the Fund is to achieve long-term capital appreciation primarily through investments in US equity and equity related securities throughout the market capitalization range and without sectorial bias.

Fund Manager

Jeffrey Reich

Since: 2010-07-01

Biography:Mr. Reich, been in the field of financial and investment experience since 2001, is a portfolio manager and senior research analyst in CRM’s investment group. Prior to joining CRM in 2007, Mr. Reich was a portfolio manager/senior analyst and principal at Merlin Bio Med Group. He earned his BA from Binghamton University and his MD from Weill Medical College of Cornell University, where he was also an Assistant Clinical Professor in the Department of Neurology and Neuroscience for 10 years.

Fund Manager

Jay Abramson

Since: 2010-07-01

Biography:Jay has been with CRM since 1985. As Chief Investment Officer, he maintains overall responsibility for the firm’s investment team. Prior to CRM, Jay earned his CPA. He received a BSE from The Wharton School of the University of Pennsylvania and a JD from the University of Pennsylvania Law School. Jay is a Trustee and Chairman of the Investment Committee for Montefiore Medical Center and is on the Board of the University of Pennsylvania’s School of Design.

Quick Stats

City Code (Symbol) N/A Legal Structure Open Ended Investment Company Fund Currency USD
ISIN Code IE00B43N7R95 Fund Size 411.903M Price Date 2020-08-06
Sector US Flex-Cap Equity Valor Code - Pricing Freq -
Bid Price - Mid Price - Offer Price -
Benchmark - Yield - Launch Date 2010-10-12
Domicile Ireland Type Accumulation ISA NO

Purchase & Other Information

Ongoing Charges
Complaint Reporting Fund Status , UCITS IV Compliant,
Dividend Dates -
For Sale In

Holding weightings are currently unavailable

Assets weightings are currently unavailable

Sector weightings are currently unavailable

Dividend Calendar

No dividend date is found

Price: $20.237

52wk high/low: 22.35/12.77

NAV:  20.237
Current Yield:  -
Sector: US Flex-Cap Equity

-
1.2%

CRM US Equity Opportunities S USD ( N/A)

 
Category - US Flex-Cap Equity

 
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