Benchmark Morningstar Category
Foreign Large Blend

Asset Allocation

 

EFAV

 
  Type %
Net
%
Short
%
Long
Bench-
mark
Cat
Avg
As of 07/25/2014
Cash 0.14 0.14 0.01 1.24
US Stock 0.00 0.00 0.09 1.38
Non US Stock 97.31 97.31 98.60 93.27
Bond 0.00 0.00 0.00 1.75
Other 2.55 2.55 1.30 2.36
 

Style Details

 

EFAV

Avg Market Cap USD
25,191 Mil
 
Benchmark Market Cap USD
32,781 Mil
 
Category Avg Market Cap USD
39,048 Mil
Market Capitalization
Size % of Portfolio Benchmark Category Avg
Giant 44.36 57.05 63.23
Large 42.68 33.56 23.22
Medium 12.96 9.26 12.97
Small 0.00 0.09 0.54
Micro 0.00 0.05 0.04
Value & Growth Measures
Stock Portfolio Benchmark Category Avg
As of 07/25/2014
*Forward-looking based on historical data
Style and Market Cap Breakdown and Value and Growth Measures are calculated only using the long position holdings of the portfolio.
Price/Prospective Earnings* 16.80 14.17 14.97
Price/Book* 1.89 1.51 1.68
Price/Sales* 1.40 1.02 1.20
Price/Cash Flow* 7.31 5.73 7.02
Dividend Yield %* 2.85 2.81 2.76
Long-Term Earnings % 8.06 10.24 13.46
Historical Earnings % 2.61 -11.82 22.38
Sales Growth % 0.13 -30.92 -13.32
Cash-Flow Growth % -2.87 -3.02 0.89
Book-Value Growth % 4.95 -21.34 -19.69
 
Ownership Zone
Weighted Average of holdings

75% of fund's stock holdings
 
Holdings Style
Portfolio Weight%
> 50% 25–50% 10–25% 0–10%
Investment Style History
Year Style % Equity
*As of 07/25/2014
Style Box Detail calculations do not include the fund's short positions (if any).
2014* 97.31
2013 97.18
2012 99.16
2011 99.02

Sector Weightings

 

EFAV

% Stocks Benchmark Category Avg   Fund Weight Benchmark Weight Category Avg Weight
Cyclical
Basic Materials 3.04 9.00 8.20
Consumer Cyclical 8.71 10.27 12.97
Financial Services 13.62 23.47 21.08
Real Estate 7.70 3.07 2.41
Sensitive
Communication Services 10.61 5.67 5.08
Energy 4.18 9.46 7.61
Industrials 10.50 10.05 11.50
Technology 1.31 7.47 7.67
Defensive
Consumer Defensive 15.74 9.75 10.53
Healthcare 16.38 8.30 10.51
Utilities 8.20 3.50 2.45
As of 07/25/2014
Sector data is calculated only using the long position holdings of the portfolio.
Take a 14-day free trial. See Country Level Detail.

World Regions

 

EFAV

% Stocks Benchmark Category Avg
As of 07/25/2014
Region breakdown data is calculated by using the long position holdings of the portfolio equity part only.
Americas 0.00 11.54 6.54
North America 0.00 7.75 5.06
Latin America 0.00 3.79 1.48
Greater Europe 53.81 52.32 63.42
United Kingdom 23.75 15.39 19.77
Europe Developed 28.47 32.72 42.35
Europe Emerging 0.00 1.98 0.50
Africa/Middle East 1.59 2.23 0.80
Greater Asia 46.19 36.14 30.03
Japan 25.87 14.60 16.26
Australasia 7.34 5.64 4.40
Asia Developed 12.21 9.01 5.85
Asia Emerging 0.77 6.90 3.52
Market Classification
% Developed Markets 99.23 86.08 94.13
% Emerging Markets 0.77 13.92 5.87
 
Greater Asia Americas Greater Europe

Certain information included herein is derived by Morningstar in part from MSCI’s Index Constituents (the “Index Data”). However, MSCI has not reviewed any information contained herein and does not endorse or express any opinion such information or analysis. Neither MSCI nor any third party involved in or related to the computing or compiling of the Index Data makes any express or implied warranties, representations or guarantees concerning the Index Data or any information or data derived therefrom, and in no event will MSCI or any third party have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) relating to any use of this information. None of the Index Data is intended to constitute investment advice or a recommendation to make (or refrain from making) any kind of investment decision and may not be relied on as such. All Index Data and any information derived therefrom is for your internal use only and may not be further redistributed or used to create any financial instruments or products or indices.