Valuations
(Dec 10 / Mar 11)
::
As at
31 August 2010 ::
Valuations (Dec 10/Mar11)
Arisaig
Asia Consumer
Fund
Arisaig
Africa
Fund
Arisaig
Latin America
Fund
EV/Sales (x)
2.5
2.2
1.7
PER weighted (x)
25.9
16.4
22.0
PER harmonic (x)
24.8
13.9
16.6
P/BV (x)
9.7
6.2
5.1
Yield (%)
1.9
4.5
2.1
Performance metrics (Dec 10/Mar 11)
ROCE (%)
51
42
25
EPS growth (%)
21
14
21
Net margin (%)
10
13
8