Vontobel Fund Société d'investissement à Capital Variable Unaudited semi-annual report as at February 28, 2014 Vontobel Asset Management R.C.S. Luxemburg Nr. B 38 170
The following Sub-Funds are available to investors in the Federal Republic of Germany: Vontobel Fund - Swiss Money Vontobel Fund - Euro Money Vontobel Fund - US Dollar Money Vontobel Fund - Swiss Franc Bond Vontobel Fund - Euro Bond Vontobel Fund - Corporate Bond Mid Yield Vontobel Fund - High Yield Bond Vontobel Fund - US Dollar Bond Vontobel Fund - Eastern European Bond Vontobel Fund - Absolute Return Bond (CHF) Vontobel Fund - Absolute Return Bond () Vontobel Fund - Global Convertible Bond Vontobel Fund - Emerging s Bond Vontobel Fund - Swiss Mid and Small Cap Equity Vontobel Fund - European Mid and Small Cap Equity Vontobel Fund - Japanese Equity Vontobel Fund - China Stars Equity Vontobel Fund - European Equity Vontobel Fund - US Equity Vontobel Fund - Global Equity Vontobel Fund - Global Equity (ex-us) Vontobel Fund - Emerging s Equity Vontobel Fund - Far East Equity Vontobel Fund - New Power Vontobel Fund - Clean Technology Vontobel Fund - Future Resources Vontobel Fund - Sustainable Asia (ex Japan) Equity Vontobel Fund - Sustainable Emerging s Leaders Vontobel Fund - Sustainable Global Leaders Vontobel Fund - Belvista Commodity Vontobel Fund - Belvista Dynamic Commodity Vontobel Fund - Target Return () Vontobel Fund - Robusta Vontobel Fund - Robusta Dynamic Vontobel Fund - Emerging s Debt Vontobel Fund - Pure Dividend Strategy Vontobel Fund - Pure Momentum Strategy Vontobel Fund - Pure Premium Strategy Investors are informed that for the Sub-Funds Vontobel Fund - Emerging s Corporate Bond Vontobel Fund - Bond Vontobel Fund - Global Corporate Bond Core Vontobel Fund - Global Corporate Bond Prime Vontobel Fund - Unconventional Energy no notice has been filed pursuant to section 310 of the Capital Investment Act (KAGB). Thus, shares in these Sub-Funds cannot be sold to the public in the Federal Republic of Germany. Unaudited semi-annual report as at February 28, 2014 This document does not constitute an offer to purchase or subscribe to shares. Subscription to shares of the Sub-Funds of Vontobel Fund, a Luxembourg SICAV, should always be undertaken only on the basis of the prospectus, the key investor information document (KIID), the Articles of Association, and the annual and semi-annual report (plus, in the case of Italy, the Modulo di Sottoscrizione). We also recommend that you contact your relationship manager or other advisors prior to each investment. An investment in Sub-Funds of Vontobel Fund involves risks, which are explained in the prospectus. All the abovementioned documents, the schedule of changes in the investments during the financial year and the composition of the benchmarks are available free of charge from Vontobel Fonds Services AG, Gotthardstrasse 43, CH-8022 Zurich, as representative in Switzerland, Bank Vontobel AG, Gotthardstrasse 43, CH-8022 Zurich, as paying agent in Switzerland, Erste Bank der oesterreichischen Sparkassen AG, Graben 21, A-1010 Wien, as paying agent in Austria, from B. Metzler seel. Sohn & Co. KGaA, Grosse Gallusstrasse 18, D-60311 Frankfurt/Main, as paying agent in Germany, from authorised distributors, from the registered office of the Fund at 11-13, Boulevard de la Foire, L-1528 Luxembourg, or at http://funds.vontobel.com. Every shareholder accepts that Vontobel Fonds Services AG, Zurich, may consult entries in the register of shareholders in order to offer services to shareholders. O==
Vontobel Fund Société d'investissement à Capital Variable (SICAV) Luxemburg, R.C.S. Luxemburg Nr. B 38 170 Organisation 5 Combined Umbrella Fund 7 Vontobel Fund - Swiss Money 9 Vontobel Fund - Euro Money 13 Vontobel Fund - US Dollar Money 17 Vontobel Fund - Swiss Franc Bond 22 Vontobel Fund - Euro Bond 27 Vontobel Fund - Corporate Bond Mid Yield 31 Vontobel Fund - High Yield Bond 35 Vontobel Fund - US Dollar Bond 39 Vontobel Fund - Eastern European Bond 43 Vontobel Fund - Absolute Return Bond (CHF) 46 Vontobel Fund - Absolute Return Bond () 49 Vontobel Fund - Global Convertible Bond 52 Vontobel Fund - Emerging s Bond 56 Vontobel Fund - Swiss Mid and Small Cap Equity 60 Vontobel Fund - European Mid and Small Cap Equity 62 Vontobel Fund - Japanese Equity 65 Vontobel Fund - China Stars Equity 67 Vontobel Fund - European Equity 69 Vontobel Fund - US Equity 71 Vontobel Fund - Global Equity 73 Vontobel Fund - Global Equity (ex-us) 76 Vontobel Fund - Emerging s Equity 79 Vontobel Fund - Far East Equity 82 Vontobel Fund - New Power 85 Vontobel Fund - Clean Technology 88 Vontobel Fund - Future Resources 91 Vontobel Fund - Sustainable Asia (ex Japan) Equity 93 Vontobel Fund - Sustainable Emerging s Leaders 95 Vontobel Fund - Sustainable Global Leaders 98 Vontobel Fund - Belvista Commodity 100 Vontobel Fund - Belvista Dynamic Commodity 102 Vontobel Fund - Target Return () 104 Vontobel Fund - Robusta 107 Vontobel Fund - Robusta Dynamic 111 Vontobel Fund - Emerging s Debt 113 Vontobel Fund - Pure Dividend Strategy 118 Vontobel Fund - Pure Momentum Strategy 121 Vontobel Fund - Pure Premium Strategy 123 P==
Vontobel Fund Shares Summary 125 Net Asset Value Summary 130 Notes to the Financial Statements 135 Additional Unaudited Appendix 160 Where to find us 166 Q==
Organisation Registered office of the Fund Board of Directors Chairman of the Board of Directors Dominic Gaillard Vontobel Fund 11-13, Boulevard de la Foire L-1528 Luxembourg Tel. +352 2605-1, Fax +352 2460 9500 Vontobel Asset Management, Bank Vontobel AG, Zurich Members of the Board of Directors Philippe Hoss Bernhard Schneider Management company Custodian, administrator, transfer agent, registrar and domiciliary agent, and listing agent Investment managers Sub-investment managers Elvinger, Hoss & Prussen, Luxembourg Vontobel Management S.A., Luxembourg Vontobel Management S.A. 2-4, rue Jean l Aveugle L-1148 Luxembourg RBC Investor Services Bank S.A. 14, Porte de France L-4360 Esch-sur-Alzette Tel. +352 2605-1, Fax +352 2460 9500 Vontobel Asset Management S.A. (formerly Vontobel Europe S.A.) 2-4, rue Jean l'aveugle L-1148 Luxembourg Sumitomo Mitsui Asset Management Company Ltd. Atago Green Hills MORI Tower 28F, 2-5-1 Atago, Minato-ku, JP-105-6228 Tokyo Bank Vontobel AG Gotthardstrasse 43 CH-8022 Zurich Vontobel Asset Management Inc. 1540 Broadway, 38th Floor New York, NY 10036 Lending Agent Legal advisor in Luxembourg Réviseur d entreprises agréé Representative for Switzerland Paying agent in Switzerland Paying and information agent in Germany Paying agent in Austria Harcourt Investment Consulting AG Gotthardstrasse 43 CH-8022 Zurich Brown Brothers Harriman & Co 50 Post Office Square Boston, MA 02110 Elvinger, Hoss & Prussen 2, Place Winston Churchill, B.P. 425 L-2014 Luxembourg Ernst & Young S.A. 7, Rue Gabriel Lippmann Parc d'activité Syrdall, 2 L-5365 Munsbach Vontobel Fonds Services AG Gotthardstrasse 43 CH-8022 Zurich Tel. +41 58 283 74 77, Fax +41 58 283 53 05 Bank Vontobel AG Gotthardstrasse 43 CH-8022 Zurich Tel. +41 58 283 71 11, Fax +41 58 283 76 50 B. Metzler seel. Sohn & Co. KGaA Grosse Gallusstrasse 18 D-60311 Frankfurt am Main Tel. +49 69 210 40, Fax +49 69 281 429 Erste Bank der oesterreichischen Sparkassen AG Graben 21 A-1010 Vienna Tel. +43 50 100 12 139, Fax +43 50 100 912 139 R=
Organisation Paying agents in Italy Raiffeisen Landesbank Südtirol AG Via Laurin, 1 I-39100 Bolzano Monte dei Paschi di Siena Piazza Salimbeni, 3 I-53100 Siena State Street Bank S.p.A. Via Ferrante Aporti, 10 I-20125 Milan BNP Paribas Securities Services Milan Branch Via Ansperto, 5 I-20121 Milan Société Générale Securities Services S.p.A. Via Benigno Crespi, 19/A I-20159 Milan Banca Sella Holding S.p.A. Piazza Gaudenzio Sella, 1 I-13900 Biella Paying agent in Liechtenstein Financial and central agent in France Allfunds Bank S.A. Milan branch Via Santa Margherita 7 I-20121 Milan Bank Vontobel (Liechtenstein) AG Pflugstrasse 20 FL-9490 Vaduz Tel. +423 236 4111, Fax +423 236 41 12 BNP Paribas Securities Services S.A. 3, Rue d Antin F-75002 Paris S=
Combined Umbrella Fund Statement of Net Assets as at February 28, 2014 Notes Cost CHF Assets Investments in securities at market value 11,656,994,666 12,615,233,890 Cash at banks 572,608,605 Receivable from foreign currencies 19,726,424 Receivable from subscriptions 32,382,355 Interest and dividends receivable 45,903,122 Receivable for investments sold 55,043,330 Receivable for forward foreign exchange contracts 94,284 (9) Interest receivable on swaps 1,400,366 Interest receivable on Contracts for Difference 165,812 Formation expenses 943 (9) Unrealised gain on forward foreign exchange contracts 26,395,177 (9) Unrealised gain on futures 39,481 (9) Unrealised gain on swaps 13,725,696 (9) Unrealised gain on Contracts for Difference 12,633,744 (9) Options contracts at market value 851,886 Other assets Total Assets 1,342,720 13,397,547,835 Liabilities Bank overdraft 791,644 Provision for expenses 1,849 Payable for redemptions 50,273,258 Payable for investments purchased 178,891,032 Payable on foreign currencies 19,749,683 Interest and dividends payable 1,399,138 (9) Unrealised loss on forward foreign exchange contracts 614,134 (9) Unrealised loss on futures 1,042,098 (9) Unrealised loss on options 1,037,645 Audit fees, printing and publishing expenses 285,109 (5) Service Fee payable 2,803,099 (4) Subscription Tax payable 626,606 (3) Management Fee payable 10,382,252 (3) Performance Fee payable 97,712 Merger expenses 38,643 Other liabilities 692,528 Total Liabilities 268,726,429 Total net assets at the end of the period 13,128,821,407 7
Combined Umbrella Fund Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 CHF Net assets at the beginning of the period 13,543,653,274 Revaluation of opening combined Net Asset Value -739,307,905 Net investment income/loss 31,448,758 Change in unrealised appreciation/depreciation on: Investments 639,433,104 Futures -3,142,335 Forward foreign exchange contracts 28,020,920 Swaps 13,844,050 Contracts for Difference 11,648,711 Options -290,661 Net realised gain/loss on investments 119,863,521 Net realised gain/loss on forward foreign exchange contracts 76,298,856 Net realised gain/loss on currency exchange -5,634,333 Net realised gain/loss on futures -286,324 Net realised gain/loss on swaps -13,352,237 Net realised gain/loss on Contracts for Difference -870,280 Net realised gain/loss on options -1,072,971 Increase/Decrease in net assets resulting from operations 895,908,779 Subscriptions of shares 3,432,739,861 Redemptions of shares -3,981,516,802 (11) Dividend distribution -22,655,799 Net assets at the end of the period 13,128,821,407 Income Bank interest 180,676 Notes Net interest on bonds 56,663,346 Interest on Swaps 5,800,801 Net dividends 64,361,355 Other income 2,683,426 Total income 129,689,604 (3) Expenses Management Fees 70,003,479 (3) Performance Fee 119,766 Audit fees, printing and publishing expenses 765,449 (4) Subscription tax 2,040,995 Bank interest 89,043 Interest on Contracts for Difference 2,934,367 (5) Service Fees 20,220,124 (12) Securities Lending Fees 185,685 (8) Other Fees payable 1,881,938 Total Expenses 98,240,846 Net investment income/loss 31,448,758 8
Vontobel Fund - Swiss Money Notes Cost CHF Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 147,427,947 146,306,155 Cash at banks Receivable from subscriptions 5,567,237 33,773 Interest and dividends receivable 830,598 (9) Unrealised gain on forward foreign exchange contracts Total Assets 198,746 152,936,509 Liabilities Payable for redemptions 604,063 Payable for investments purchased 1,062,221 Audit fees, printing and publishing expenses 3,635 (5) Service Fee payable 12,865 (4) Subscription Tax payable 2,445 (3) Management Fee payable 17,543 Other liabilities 5,897 Total Liabilities 1,708,669 Total net assets at the end of the period 151,227,840 Net assets at the beginning of the period 168,794,509 Net investment income 734,187 Change in unrealised appreciation/depreciation on: Investments -1,186,379 Forward foreign exchange contracts 142,882 Net realised gain/loss on investments -189,417 Net realised gain/loss on forward foreign exchange contracts 549,835 Net realised gain/loss on currency exchange -156,200 Increase/Decrease in net assets resulting from operations -105,092 Subscriptions of shares 29,455,119 Redemptions of shares -46,792,344 (11) Dividend distribution -124,352 Total net assets at the end of the period 151,227,840 Income Bank interest 104 Net interest on bonds 976,373 Other income 107 Total income 976,584 (3) Expenses Management Fees 119,974 Audit fees, printing and publishing expenses 7,027 (4) Subscription tax 7,792 Bank interest 2,613 (5) Service Fees 98,509 (8) Other Fees payable 6,482 Total Expenses 242,397 Net investment income 734,187 9
Vontobel Fund - Swiss Money Portfolio as at February 28, 2014 CHF CHF Transferable securities admitted to an official exchange Bonds Australia 2,450,000 AUD Toyota Finance 3.750% 09.09.2016 1,940,396 1.28 Australia Ltd 13 1,500,000 CHF Australia & New 0.668% 13.02.2015 1,505,250 1.00 Zealand Banking Group Ltd 12 FRN 1,500,000 CHF Commonwealth Bank 0.618% 13.03.2015 1,505,400 1.00 of Australia 12 FRN 7,000,000 CHF National Australia 0.556% 07.08.2015 7,028,000 4.65 Bank Ltd 12 FRN 1,500,000 CHF SPI Electricity & Gas 2.625% 08.09.2015 1,546,500 1.02 Australia Holdings Pty Ltd 10 1,000,000 CHF SPI Electricity & Gas 1.500% 21.02.2017 1,026,500 0.68 Australia Holdings Pty Ltd 12 160,000 CHF Westpac Banking 2.125% 21.11.2014 162,336 0.11 Corp 09 Total - Australia 14,714,382 9.73 Austria 4,750,000 CHF Erste Group Bank AG 0.323% 22.07.2014 4,738,600 3.13 11 FRN 380,000 CHF Hypo Alpe-Adria- 2.875% 15.10.2014 349,980 0.23 Bank International AG 04 1,500,000 CHF Raiffeisenlandesbank 0.470% 05.12.2014 1,501,950 0.99 Niederoesterreich- Wien AG 12 FRN 2,000,000 CHF Raiffeisenlandesbank 0.902% 18.09.2014 2,004,000 1.33 Oberoesterreich AG 12 FRN 205,000 CHF Vorarlberger Landesund 1.500% 23.05.2014 205,554 0.14 Hypothekenbank AG 10 Total - Austria 8,800,084 5.82 Brazil 285,000 CHF Banco Santander 3.125% 01.12.2014 288,420 0.19 Brasil SA/Brazil 11 Total - Brazil 288,420 0.19 Cayman Islands 1,650,000 CHF LGT Finance Ltd 11 2.125% 25.11.2015 1,702,800 1.13 4,300,000 CHF QNB Finance Ltd 13 0.548% 13.05.2016 4,269,900 2.82 FRN Total - Cayman Islands 5,972,700 3.95 Chile 3,000,000 CHF Banco de Chile 13 0.621% 18.07.2016 3,007,500 1.99 FRN 420,000 CHF Banco Santander 2.250% 16.12.2015 430,920 0.28 Chile 10 815,000 CHF Banco Santander 1.021% 28.03.2017 814,593 0.54 Chile 13 FRN Total - Chile 4,253,013 2.81 Finland 3,500,000 CHF Nordea Bank Finland 0.318% 09.09.2014 3,498,950 2.31 Abp 11 FRN Total - Finland 3,498,950 2.31 France 950,000 CHF Aeroports de Paris 10 2.500% 27.01.2017 1,005,575 0.66 1,360,000 CHF BNP Paribas SA 10 1.875% 25.03.2015 1,382,712 0.91 1,000,000 CHF Caisse Francaise de 2.375% 11.03.2015 1,022,300 0.68 Financement Local 05 175,000 CHF Cie de Financement 1.750% 28.04.2014 175,420 0.12 Foncier SA 09 1,800,000 CHF Cie de Financement 0.373% 08.07.2014 1,799,280 1.19 Foncier SA 11 FRN 1,400,000 CHF CIF Euromortgage SA 3.000% 23.06.2014 1,411,900 0.93 03 3,000,000 CHF Dexia Credit Local SA 1.500% 22.04.2014 3,004,800 1.99 10 275,000 CHF RCI Banque SA 12 2.500% 16.07.2015 281,298 0.19 250,000 CHF Regie Autonome des 3.000% 19.12.2014 255,650 0.17 Transports Parisiens 07 1,195,000 CHF Region of Ile de 1.875% 05.09.2014 1,205,875 0.80 France 05 500,000 CHF Region of Ile de 2.500% 28.09.2015 517,750 0.34 France 09 700,000 CHF Societe Generale SA 1.875% 20.10.2014 707,490 0.47 10 3,670,000 CHF Total Capital SA 06 2.625% 06.10.2014 3,724,316 2.46 1,000,000 Societe Generale SA 3.000% 31.03.2015 1,248,170 0.83 10 Total - France 17,742,535 11.73 Germany 2,330,000 CHF Berlin 10 1.250% 18.03.2014 2,330,932 1.54 Total - Germany 2,330,932 1.54 Ireland 1,500,000 Caterpillar 2.750% 06.06.2014 1,835,704 1.21 International Finance Ltd 11 Total - Ireland 1,835,704 1.21 Italy 2,100,000 CHF Italy Government 2.500% 02.03.2015 2,134,650 1.41 International Bond 05 1,000,000 Italy Buoni Ordinari 0.000% 14.10.2014 1,212,939 0.80 del Tesoro BOT 13 500,000 Snam SpA 13 FRN 1.140% 17.10.2016 611,178 0.40 1,300,000 UniCredit SpA 05 0.462% 18.02.2015 1,576,521 1.04 FRN Total - Italy 5,535,288 3.66 Jersey 850,000 CHF UBS AG/Jersey 06 2.750% 28.04.2016 895,050 0.59 Total - Jersey 895,050 0.59 * Any deviations of the percentages of the net assets are due to rounding. 10
Vontobel Fund - Swiss Money Portfolio as at February 28, 2014 CHF CHF Korea, Republic Of 610,000 CHF Export-Import Bank 2.375% 30.03.2015 623,359 0.41 of Korea 11 800,000 CHF Industrial Bank of 1.250% 19.06.2015 809,520 0.54 Korea 12 1,000,000 CHF Korea Gas Corp 10 2.250% 06.10.2015 1,028,500 0.68 1,500,000 CHF Korea Land & 0.672% 18.12.2015 1,501,950 0.99 Housing Corp 13 FRN Total - Korea, Republic Of 3,963,329 2.62 Luxembourg 555,000 CHF Hypo Pfandbrief Bank 2.500% 24.04.2014 556,610 0.37 International SA 06 600,000 CHF Russian Agricultural 3.125% 17.08.2015 607,200 0.40 Bank OJSC Via RSHB Capital SA 12 Total - Luxembourg 1,163,810 0.77 Mexico 1,380,000 CHF Petroleos Mexicanos 3.500% 13.10.2014 1,405,944 0.93 09 Total - Mexico 1,405,944 0.93 Netherlands 170,000 CHF ABN AMRO Bank NV 1.625% 28.10.2016 176,120 0.12 10 3,000,000 CHF ABN AMRO Bank NV 0.823% 15.07.2014 3,002,400 1.99 11 FRN 300,000 CHF Bank Nederlandse 2.750% 03.07.2015 310,500 0.21 Gemeenten 03 2,760,000 CHF Daimler International 1.625% 12.10.2016 2,856,600 1.89 Finance BV 11 330,000 CHF Daimler International 1.250% 31.03.2014 330,264 0.22 Finance BV 11 380,000 CHF Iberdrola 3.000% 13.02.2017 402,990 0.27 International BV 12 3,895,000 CHF ING Bank NV 12 FRN 1.119% 01.03.2014 3,895,000 2.58 1,020,000 CHF Nederlandse 1.625% 22.09.2014 1,028,568 0.68 Waterschapsbank NV 09 1,800,000 PACCAR Financial 0.672% 24.06.2016 2,191,502 1.45 Europe BV 13 FRN 1,400,000 Schlumberger Finance 2.750% 01.12.2015 1,769,987 1.17 BV 10 Total - Netherlands 15,963,931 10.56 New Zealand 5,600,000 CHF ANZ New Zealand 0.773% 23.10.2015 5,643,680 3.73 Int'l Ltd/London 12 FRN Total - New Zealand 5,643,680 3.73 Poland 770,000 CHF Poland Government 2.125% 31.03.2014 770,924 0.51 International Bond 10 1,555,000 CHF Poland Government 1.268% 14.08.2015 1,571,328 1.04 International Bond 12 FRN Total - Poland 2,342,252 1.55 Spain 240,000 CHF Instituto de Credito 2.000% 15.12.2016 246,720 0.16 Oficial 05 Total - Spain 246,720 0.16 Sweden 675,000 CHF PKO Finance AB 12 2.536% 21.12.2015 693,225 0.46 1,500,000 CHF Swedbank Hypotek 0.343% 15.07.2014 1,500,000 0.99 AB 11 FRN Total - Sweden 2,193,225 1.45 Switzerland 5,050,000 CHF Aduno Holding AG 0.773% 17.07.2014 5,057,070 3.34 12 FRN 1,200,000 CHF Raiffeisen Schweiz 0.266% 07.02.2017 1,200,120 0.79 Genossenschaft 14 FRN 4,000,000 CHF Zuercher 0.196% 07.05.2015 3,999,600 2.64 Kantonalbank 12 FRN Total - Switzerland 10,256,790 6.78 United Kingdom 2,500,000 CHF Abbey National 2.500% 08.06.2015 2,565,250 1.70 Treasury Services PLC/London 11 2,735,000 CHF ANZ New Zealand 0.820% 27.02.2015 2,747,308 1.82 Int'l Ltd/London 12 FRN 1,000,000 CHF Barclays Bank PLC 12 0.723% 16.04.2015 1,000,700 0.66 FRN 2,010,000 CHF HSBC Bank PLC 11 0.353% 01.04.2014 2,009,799 1.33 FRN 4,335,000 CHF Lloyds Bank PLC 11 2.500% 15.04.2014 4,346,271 2.87 305,000 CHF State Bank of India 11 3.375% 22.02.2016 314,913 0.21 1,500,000 BP Capital s 2.177% 16.02.2016 1,879,627 1.24 PLC 12 Total - United Kingdom 14,863,867 9.83 United States 615,000 CHF American 2.875% 16.04.2015 631,913 0.42 International Group Inc 07 60,000 CHF Citigroup Inc 04 3.000% 17.12.2014 61,308 0.04 1,060,000 CHF McDonald's Corp 10 1.875% 23.06.2016 1,100,280 0.73 360,000 CHF Morgan Stanley 07 3.125% 30.05.2014 362,484 0.24 655,000 CHF Swiss Re Treasury US 1.750% 21.07.2014 659,127 0.44 Corp 10 400,000 CHF Toyota Motor Credit 2.875% 20.09.2016 427,400 0.28 Corp 06 1,200,000 Citigroup Inc 07 FRN 0.379% 05.03.2014 1,459,834 0.97 1,300,000 Goldman Sachs 0.637% 18.05.2015 1,581,344 1.05 Group Inc/The 07 FRN 1,200,000 Morgan Stanley 06 0.682% 13.04.2016 1,452,666 0.96 FRN 3,000,000 AT&T Inc 13 FRN 0.619% 12.02.2016 2,645,068 1.75 * Any deviations of the percentages of the net assets are due to rounding. 11
Vontobel Fund - Swiss Money Portfolio as at February 28, 2014 CHF 1,150,000 Honeywell 0.286% 17.11.2015 1,013,765 0.67 International Inc 13 FRN 820,000 PepsiCo Inc 13 FRN 0.444% 26.02.2016 723,585 0.48 2,800,000 Wal-Mart Stores Inc 0.600% 11.04.2016 2,475,216 1.64 13 Total - United States 14,593,989 9.65 Venezuela, Bolivarian Republic Of 1,030,000 CHF Corp Andina de 2.625% 05.11.2015 1,069,140 0.71 Fomento 10 2,235,000 CHF Corp Andina de 1.472% 19.12.2014 2,253,998 1.49 Fomento 12 FRN Total - Venezuela, Bolivarian Republic Of 3,323,138 2.20 Total - Bonds Total - Transferable securities admitted to an official exchange 141,827,731 93.78 141,827,731 93.78 Transferable securities and money market instruments dealt in on another regulated market Bonds Sweden 900,000 Svenska 0.716% 23.09.2016 795,637 0.53 Handelsbanken AB 13 FRN Total - Sweden 795,637 0.53 United Kingdom 750,000 BP Capital s 0.876% 26.09.2018 663,858 0.44 PLC 13 FRN Total - United Kingdom 663,858 0.44 United States 3,100,000 Chevron Corp 13 0.889% 24.06.2016 2,752,896 1.82 300,000 Nissan Motor 0.946% 26.09.2016 266,034 0.18 Acceptance Corp 13 FRN Total - United States 3,018,930 2.00 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market 4,478,425 4,478,425 2.96 2.96 Total - Investment in securities 146,306,155 96.75 * Any deviations of the percentages of the net assets are due to rounding. 12
Vontobel Fund - Euro Money Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 147,676,383 145,668,949 Cash at banks 1,032,736 Receivable from subscriptions 736,216 Interest and dividends receivable 2,122,335 Total Assets 149,560,236 Liabilities Payable for redemptions 1,622,695 Payable for investments purchased 2,000,850 Audit fees, printing and publishing expenses 3,811 (5) Service Fee payable 12,691 (4) Subscription Tax payable 2,369 (3) Management Fee payable 32,687 Other liabilities 5,851 Total Liabilities 3,680,954 Total net assets at the end of the period 145,879,282 Net assets at the beginning of the period 194,227,655 Net investment income 2,205,635 Change in unrealised appreciation/depreciation on: Investments 47,239 Net realised gain/loss on investments -1,796,933 Net realised gain/loss on currency exchange 19 Increase/Decrease in net assets resulting from operations 455,960 Subscriptions of shares 27,606,772 Redemptions of shares -76,174,195 (11) Dividend distribution -236,910 Total net assets at the end of the period 145,879,282 Income Net interest on bonds 2,571,985 Other income 108 Total income 2,572,093 (3) Expenses Management Fees 238,537 Audit fees, printing and publishing expenses 7,720 (4) Subscription tax 7,684 Bank interest 7 (5) Service Fees 105,662 (8) Other Fees payable 6,848 Total Expenses 366,458 Net investment income 2,205,635 13
Vontobel Fund - Euro Money Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Australia 1,500,000 Australia & New 0.614% 04.10.2016 1,501,155 1.03 Zealand Banking Group Ltd 13 FRN 3,000,000 Commonwealth Bank 1.650% 10.03.2016 3,048,000 2.09 of Australia 10 FRN 1,500,000 Commonwealth Bank 0.682% 17.09.2015 1,508,295 1.03 of Australia 12 FRN 1,000,000 National Australia 3.500% 23.01.2015 1,027,590 0.70 Bank Ltd 09 1,000,000 National Australia 0.602% 19.07.2016 1,000,600 0.69 Bank Ltd 13 FRN 1,500,000 Westpac Banking 0.616% 10.11.2016 1,500,780 1.03 Corp 13 FRN Total - Australia 9,586,420 6.57 Austria 2,000,000 OMV AG 09 6.250% 07.04.2014 2,010,520 1.38 Total - Austria 2,010,520 1.38 Canada 1,500,000 Bank of Montreal 13 0.636% 04.11.2016 1,502,415 1.03 FRN 1,500,000 Bank of Nova Scotia 0.624% 30.09.2016 1,501,080 1.03 13 FRN Total - Canada 3,003,495 2.06 Czech Republic 500,000 Ceska Exportni Banka 0.684% 06.06.2016 497,424 0.34 AS 13 FRN 2,000,000 CEZ AS 08 6.000% 18.07.2014 2,041,040 1.40 2,000,000 CEZ AS 09 5.750% 20.05.2015 2,123,240 1.46 Total - Czech Republic 4,661,704 3.20 Denmark 300,000 Nykredit Bank A/S 13 0.786% 03.06.2016 299,865 0.21 FRN Total - Denmark 299,865 0.21 Finland 500,000 Pohjola Bank PLC 14 0.636% 03.03.2017 500,490 0.34 FRN Total - Finland 500,490 0.34 France 1,700,000 Agence Francaise de 1.200% 26.01.2015 1,710,625 1.17 Developpement 12 FRN 250,000 Alstom SA 09 4.000% 23.09.2014 254,460 0.17 3,000,000 AXA SA 09 4.500% 23.01.2015 3,106,380 2.13 500,000 BNP Paribas SA 12 0.661% 03.12.2014 500,755 0.34 FRN 1,000,000 BNP Paribas SA 13 0.591% 13.11.2015 1,000,510 0.69 FRN 500,000 BNP Paribas SA 13 0.487% 16.12.2014 500,130 0.34 FRN 1,000,000 BPCE SA 10 2.875% 22.09.2015 1,033,720 0.71 1,000,000 BPCE SA 12 FRN 0.738% 05.12.2014 1,001,890 0.69 1,000,000 BPCE SA 13 FRN 1.000% 18.01.2016 1,005,620 0.69 2,000,000 Electricite de France 4.500% 17.07.2014 2,030,180 1.39 09 1,000,000 GDF Suez 09 5.000% 23.02.2015 1,043,660 0.72 500,000 RCI Banque SA 11 3.750% 07.07.2014 505,480 0.35 1,000,000 Schneider Electric SA 5.375% 08.01.2015 1,041,490 0.71 07 3,500,000 Societe Generale SA 3.750% 21.08.2014 3,554,565 2.44 09 2,000,000 Societe Generale SA 2.375% 13.07.2015 2,047,440 1.40 12 1,000,000 Societe Generale SA 0.539% 27.05.2015 1,000,290 0.69 13 FRN Total - France 21,337,195 14.63 Germany 500,000 Daimler AG 12 FRN 0.546% 03.03.2015 500,045 0.34 1,000,000 Daimler AG 13 FRN 0.511% 10.04.2015 1,000,130 0.69 1,000,000 Daimler AG 14 FRN 0.580% 27.01.2017 998,620 0.68 1,000,000 MAN SE 12 1.000% 21.09.2015 1,006,570 0.69 500,000 Schleswig-Holstein 14 0.441% 12.02.2021 500,340 0.34 FRN 2,000,000 Volkswagen Bank 3.125% 11.04.2014 2,005,580 1.37 GmbH 11 1,000,000 Volkswagen Bank 0.686% 09.05.2016 1,003,520 0.69 GmbH 13 FRN 1,000,000 Volkswagen Financial 0.538% 28.05.2014 1,000,360 0.69 Services AG 12 FRN 1,000,000 Volkswagen Leasing 2.250% 10.11.2014 1,012,470 0.69 GmbH 11 Total - Germany 9,027,635 6.19 Guernsey 1,000,000 Credit Suisse 2.875% 24.09.2015 1,034,770 0.71 AG/Guernsey 10 Total - Guernsey 1,034,770 0.71 Ireland 500,000 Bank of Ireland 4.625% 16.09.2014 509,925 0.35 Mortgage Bank 09 500,000 Bank of Ireland 3.125% 20.11.2015 516,915 0.35 Mortgage Bank 12 1,700,000 GE Capital European 0.748% 03.05.2016 1,704,607 1.17 Funding 13 FRN Total - Ireland 2,731,447 1.87 Italy 2,000,000 Eni SpA 09 4.000% 29.06.2015 2,086,760 1.43 1,000,000 Intesa Sanpaolo SpA 3.375% 19.01.2015 1,022,520 0.70 10 1,000,000 Intesa Sanpaolo SpA 1.800% 29.07.2015 1,009,800 0.69 13 FRN 4,500,000 Italy Government International Bond 04 4.500% 31.07.2014 4,569,840 3.13 * Any deviations of the percentages of the net assets are due to rounding. 14
Vontobel Fund - Euro Money Portfolio as at February 28, 2014 1,250,000 Mediobanca SpA 08 3.750% 30.05.2014 1,258,875 0.86 1,000,000 Mediobanca SpA 12 3.750% 12.10.2015 1,041,080 0.71 700,000 Snam SpA 13 FRN 1.140% 17.10.2016 703,360 0.48 500,000 UniCredit SpA 10 2.625% 31.10.2015 515,535 0.35 1,000,000 UniCredit SpA 14 0.851% 31.01.2017 1,002,820 0.69 FRN Total - Italy 13,210,590 9.06 Jersey 2,500,000 Heathrow Funding 4.600% 30.09.2016 2,556,050 1.75 Ltd 08 Total - Jersey 2,556,050 1.75 Netherlands 1,500,000 ABN AMRO Bank NV 0.878% 01.08.2016 1,506,705 1.03 13 FRN 1,500,000 ABN AMRO Bank NV 1.087% 06.03.2019 1,503,045 1.03 14 FRN 1,500,000 Achmea 0.952% 23.01.2015 1,504,455 1.03 Hypotheekbank NV 13 FRN 2,000,000 Aegon NV 04 4.125% 08.12.2014 2,055,540 1.41 500,000 BMW Finance NV 12 0.489% 27.11.2014 500,405 0.34 FRN 1,000,000 BMW Finance NV 13 0.508% 05.09.2016 1,000,380 0.69 FRN 1,500,000 Cooperatieve 0.637% 18.11.2016 1,500,540 1.03 Centrale Raiffeisen- Boerenleenbank BA/Netherlands 13 FRN 1,000,000 E.ON International 5.250% 08.09.2015 1,070,150 0.73 Finance BV 08 1,500,000 Generali Finance BV 4.750% 12.05.2014 1,511,955 1.04 99 1,500,000 ING Bank NV 10 3.375% 03.03.2015 1,542,750 1.06 2,000,000 ING Bank NV 12 2.125% 10.07.2015 2,041,080 1.40 500,000 ING Bank NV 12 FRN 0.778% 28.11.2014 501,360 0.34 1,500,000 ING Groep NV 11 4.125% 23.03.2015 1,555,665 1.07 500,000 KBC Internationale 4.500% 17.09.2014 510,770 0.35 Financieringsmaatsch appij NV 09 1,000,000 Koninklijke DSM NV 5.750% 17.03.2014 1,001,770 0.69 09 700,000 Nederlandse Gasunie 0.875% 30.10.2015 703,962 0.48 NV 12 1,000,000 Nomura Europe 5.125% 09.12.2014 1,033,420 0.71 Finance NV 09 1,000,000 PACCAR Financial 0.672% 24.06.2016 1,000,810 0.69 Europe BV 13 FRN 500,000 Repsol International 4.625% 08.10.2014 511,655 0.35 Finance BV 04 Total - Netherlands 22,556,417 15.46 Norway 750,000 DNB Boligkreditt AS 0.686% 01.03.2016 754,950 0.52 11 FRN Total - Norway 754,950 0.52 Poland 1,000,000 Poland Government 3.625% 01.02.2016 1,060,210 0.73 International Bond 06 Total - Poland 1,060,210 0.73 Spain 3,000,000 Banco Santander SA 3.125% 28.01.2015 3,063,990 2.10 10 500,000 Banco Santander SA 4.375% 16.03.2015 518,495 0.36 11 500,000 CaixaBank SA 11 4.750% 18.03.2015 520,240 0.36 500,000 Gas Natural Capital 5.250% 09.07.2014 507,920 0.35 s SA 09 300,000 Santander Consumer 1.450% 29.01.2016 301,251 0.21 Finance SA 14 Total - Spain 4,911,896 3.37 Sweden 1,500,000 Nordea Bank AB 13 0.587% 25.11.2016 1,500,630 1.03 FRN 500,000 Scania CV AB 14 FRN 0.558% 26.11.2015 500,240 0.34 2,500,000 Svenska 1.500% 06.07.2015 2,535,725 1.74 Handelsbanken AB 12 1,000,000 Swedbank AB 12 1.750% 18.06.2015 1,015,880 0.70 1,000,000 TeliaSonera AB 05 4.125% 11.05.2015 1,042,570 0.71 Total - Sweden 6,595,045 4.52 United Kingdom 1,000,000 Abbey National 3.375% 20.10.2015 1,041,870 0.71 Treasury Services PLC/London 10 3,000,000 Abbey National 4.125% 03.03.2014 3,000,960 2.06 Treasury Services PLC/London 11 500,000 Anglo American 5.875% 17.04.2015 527,960 0.36 Capital PLC 08 1,000,000 ANZ New Zealand 0.758% 05.12.2016 1,001,230 0.69 Int'l Ltd/London 13 FRN 1,000,000 BAT International 5.875% 12.03.2015 1,054,110 0.72 Finance PLC 08 1,250,000 BP Capital s 3.100% 07.10.2014 1,270,050 0.87 PLC 10 1,000,000 BP Capital s 2.177% 16.02.2016 1,030,060 0.71 PLC 12 2,500,000 Credit Suisse 4.800% 30.06.2014 2,535,200 1.74 AG/London 08 500,000 Credit Suisse 0.490% 17.04.2015 500,220 0.34 AG/London 13 FRN 2,000,000 HSBC Bank PLC 11 3.250% 28.01.2015 2,051,260 1.41 500,000 Lloyds Banking Group 5.875% 08.07.2014 508,275 0.35 PLC 02 500,000 Nationwide Building 3.500% 07.12.2015 527,225 0.36 Society 05 2,500,000 Nationwide Building Society 10 3.750% 20.01.2015 2,570,225 1.76 * Any deviations of the percentages of the net assets are due to rounding. 15
Vontobel Fund - Euro Money Portfolio as at February 28, 2014 2,000,000 Standard Chartered 5.750% 30.04.2014 2,016,640 1.38 PLC 09 500,000 Standard Chartered 3.625% 15.12.2015 525,995 0.36 PLC 10 1,000,000 Vodafone Group PLC 6.250% 15.01.2016 1,102,800 0.76 09 Total - United Kingdom 21,264,080 14.58 United States 1,000,000 AT&T Inc 08 6.125% 02.04.2015 1,059,720 0.73 1,750,000 Cargill Inc 04 4.500% 29.09.2014 1,790,320 1.23 1,500,000 Goldman Sachs 0.637% 18.05.2015 1,499,880 1.03 Group Inc/The 07 FRN 3,500,000 JPMorgan Chase & 0.682% 12.10.2015 3,481,485 2.39 Co 05 FRN 1,500,000 JPMorgan Chase & 6.125% 01.04.2014 1,506,480 1.03 Co 09 1,000,000 Merck & Co Inc 07 5.375% 01.10.2014 1,028,580 0.71 1,500,000 Philip Morris 5.875% 04.09.2015 1,618,425 1.11 International Inc 08 1,000,000 Toyota Motor Credit 6.625% 03.02.2016 1,116,390 0.77 Corp 09 3,900,000 Wells Fargo & Co 06 0.493% 23.03.2016 3,896,685 2.67 FRN 1,000,000 Zurich Finance USA 4.500% 17.09.2014 1,022,050 0.70 Inc 04 500,000 Zurich Finance USA 6.500% 14.10.2015 546,155 0.37 Inc 09 Total - United States 18,566,170 12.73 Total - Bonds Total - Transferable securities admitted to an official exchange Total - Investment in securities 145,668,949 99.86 145,668,949 99.86 145,668,949 99.86 * Any deviations of the percentages of the net assets are due to rounding. 16
Vontobel Fund - US Dollar Money Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 154,528,922 154,568,427 Cash at banks 4,895,266 Receivable from subscriptions 403,120 Interest and dividends receivable 525,776 Total Assets 160,392,589 Liabilities Payable for redemptions 116,242 Payable for investments purchased 2,200,952 Audit fees, printing and publishing expenses 3,223 (5) Service Fee payable 13,039 (4) Subscription Tax payable 2,545 (3) Management Fee payable 35,558 Other liabilities 9,211 Total Liabilities 2,380,770 Total net assets at the end of the period 158,011,819 Net assets at the beginning of the period 138,548,639 Net investment income 944,575 Change in unrealised appreciation/depreciation on: Investments 542,490 Net realised gain/loss on investments -711,724 Net realised gain/loss on currency exchange 80 Increase/Decrease in net assets resulting from operations 775,421 Subscriptions of shares 49,644,138 Redemptions of shares -30,833,999 (11) Dividend distribution -122,380 Total net assets at the end of the period 158,011,819 Income Net interest on bonds 1,274,882 Other income 101 Total income 1,274,983 (3) Expenses Management Fees 212,693 Audit fees, printing and publishing expenses 7,734 (4) Subscription tax 7,361 Bank interest 25 (5) Service Fees 94,593 (8) Other Fees payable 8,002 Total Expenses 330,408 Net investment income 944,575 17
Vontobel Fund - US Dollar Money Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Australia 500,000 Australia & New 3.700% 13.01.2015 514,330 0.33 Zealand Banking Group Ltd 10 1,200,000 Australia & New 3.250% 01.03.2016 1,259,508 0.80 Zealand Banking Group Ltd 11 1,000,000 Australia & New 0.620% 10.01.2017 1,001,303 0.63 Zealand Banking Group Ltd 14 FRN 1,000,000 Commonwealth Bank 3.750% 15.10.2014 1,021,160 0.65 of Australia 09 1,000,000 Commonwealth Bank 0.745% 20.09.2016 1,004,980 0.64 of Australia 13 FRN 500,000 National Australia 0.537% 22.01.2015 501,120 0.32 Bank Ltd 13 FRN 1,000,000 Westpac Banking 1.006% 25.09.2015 1,009,670 0.64 Corp 12 FRN 1,000,000 Westpac Banking 1.038% 17.07.2015 1,009,210 0.64 Corp 12 FRN 1,000,000 Westpac Banking 0.665% 25.11.2016 1,003,140 0.63 Corp 13 FRN Total - Australia 8,324,421 5.27 Belgium 500,000 Belgium Government 0.396% 23.09.2014 499,855 0.32 International Bond 09 FRN 1,000,000 Belgium Government 2.750% 05.03.2015 1,024,290 0.65 International Bond 10 Total - Belgium 1,524,145 0.96 Canada 1,500,000 Bank of Nova Scotia 0.750% 09.10.2015 1,507,080 0.95 12 500,000 Province of Ontario 0.486% 23.11.2017 500,745 0.32 Canada 12 FRN 1,000,000 Royal Bank of Canada 0.800% 30.10.2015 1,005,720 0.64 12 500,000 Royal Bank of Canada 1.125% 22.07.2016 504,250 0.32 13 1,000,000 Royal Bank of Canada 0.850% 08.03.2016 1,004,390 0.64 13 1,000,000 Royal Bank of Canada 0.695% 09.09.2016 1,005,090 0.64 13 FRN 1,000,000 Toronto-Dominion 0.695% 09.09.2016 1,004,750 0.64 Bank/The 13 FRN 500,000 Total Capital Canada 0.619% 15.01.2016 502,770 0.32 Ltd 13 FRN Total - Canada 7,034,795 4.45 Cayman Islands 500,000 ADCB Finance 1.542% 09.01.2017 502,355 0.32 Cayman Ltd 13 FRN 1,000,000 QNB Finance Ltd 13 1.486% 31.10.2016 1,010,720 0.64 FRN Total - Cayman Islands 1,513,075 0.96 Chile 250,000 Banco Santander 2.109% 07.06.2018 250,250 0.16 Chile 13 FRN Total - Chile Finland 500,000 Municipality Finance 0.317% 16.01.2015 250,250 500,244 0.16 0.32 PLC 13 FRN Total - Finland France 1,500,000 Agence Francaise de 1.125% 03.10.2016 500,244 1,508,925 0.32 0.95 Developpement 13 1,700,000 BNP Paribas SA 10 3.250% 11.03.2015 1,747,107 1.11 500,000 Caisse 1.125% 30.01.2017 502,950 0.32 d'amortissement de la Dette Sociale 14 400,000 Caisse des Depots et 0.875% 07.11.2016 399,956 0.25 Consignations 13 2,000,000 Cie de Financement 2.250% 07.03.2014 2,000,260 1.27 Foncier SA 11 1,000,000 Cie de Financement 0.981% 17.04.2014 1,000,666 0.63 Foncier SA 11 FRN 500,000 Electricite de France 0.694% 20.01.2017 500,180 0.32 14 FRN 1,500,000 Societe Generale SA 3.100% 14.09.2015 1,553,340 0.98 10 350,000 Societe Generale SA 1.327% 01.10.2018 353,637 0.22 13 FRN Total - France Germany 2,600,000 Münchener 1.125% 13.07.2015 9,567,021 2,621,840 6.05 1.66 Hypothekenbank eg 12 2,000,000 Nordrhein-Westfalen 0.942% 11.07.2017 2,037,500 1.29 12 FRN 1,000,000 NRW Bank 13 FRN 0.439% 08.07.2016 1,001,820 0.63 500,000 NRW Bank 14 FRN 0.434% 13.08.2018 499,855 0.32 Total - Germany Italy 4,000,000 Italy Government 4.500% 21.01.2015 6,161,015 4,133,600 3.90 2.62 International Bond 05 Total - Italy Japan 400,000 Mitsubishi UFJ Lease 1.160% 20.02.2019 4,133,600 403,100 2.62 0.26 & Finance Co Ltd 14 FRN 1,500,000 Sumitomo Mitsui 1.350% 18.07.2015 1,515,075 0.96 Banking Corp 12 Total - Japan 1,918,175 1.21 Korea, Republic Of 200,000 Export-Import Bank 0.992% 14.01.2017 201,282 0.13 of Korea 14 FRN 400,000 Kookmin Bank 13 1.375% 15.01.2016 401,432 0.25 200,000 Kookmin Bank 13 FRN 1.492% 11.10.2016 202,962 0.13 * Any deviations of the percentages of the net assets are due to rounding. 18
Vontobel Fund - US Dollar Money Portfolio as at February 28, 2014 200,000 Kookmin Bank 14 1.114% 27.01.2017 201,040 0.13 FRN 1,500,000 Korea Development 4.375% 10.08.2015 1,575,480 1.00 Bank/The 10 600,000 Korea Development 1.000% 22.01.2016 600,906 0.38 Bank/The 13 500,000 Korea Development 0.862% 22.01.2017 500,915 0.32 Bank/The 14 FRN Total - Korea, Republic Of 3,684,017 2.33 Mexico 1,500,000 America Movil SAB 3.625% 30.03.2015 1,545,135 0.98 de CV 10 Total - Mexico 1,545,135 0.98 Netherlands 1,500,000 ING Bank NV 12 FRN 1.886% 25.09.2015 1,531,425 0.97 1,200,000 Linde Finance BV 09 3.625% 13.11.2014 1,225,956 0.78 500,000 Nederlandse 1.236% 02.03.2015 504,465 0.32 Financierings- Maatschappij voor Ontwikkelingslanden NV 12 FRN 500,000 Volkswagen 0.676% 18.11.2016 500,638 0.32 International Finance NV 13 FRN Total - Netherlands 3,762,484 2.38 Poland 3,000,000 Poland Government 3.875% 16.07.2015 3,137,820 1.99 International Bond 10 Total - Poland 3,137,820 1.99 Spain 2,000,000 Telefonica Emisiones 4.949% 15.01.2015 2,068,260 1.31 SAU 09 Total - Spain 2,068,260 1.31 Sweden 800,000 Nordea Bank AB 09 3.700% 13.11.2014 818,656 0.52 1,000,000 Svensk Exportkredit 0.612% 09.11.2017 1,008,840 0.64 AB 12 FRN Total - Sweden 1,827,496 1.16 Switzerland 500,000 OFIMA 12 FRN 0.546% 27.03.2015 501,425 0.32 Total - Switzerland 501,425 0.32 United Kingdom 1,000,000 Abbey National 2.875% 25.04.2014 1,003,340 0.63 Treasury Services PLC/London 11 1,000,000 BP Capital s 0.700% 06.11.2015 1,003,550 0.64 PLC 12 500,000 BP Capital s 0.656% 07.11.2016 503,000 0.32 PLC 13 FRN 500,000 British 1.250% 14.02.2017 501,170 0.32 Telecommunications PLC 14 1,000,000 Deutsche Bank 3.875% 18.08.2014 1,016,130 0.64 AG/London 09 1,000,000 Deutsche Bank 0.847% 13.02.2017 1,003,600 0.64 AG/London 14 FRN 500,000 International Finance 0.433% 05.07.2016 500,150 0.32 Facility for Immunisation 13 FRN 1,000,000 Royal Bank of 2.550% 18.09.2015 1,023,340 0.65 Scotland Group PLC 12 1,500,000 UBS AG/London 12 1.875% 23.01.2015 1,519,875 0.96 1,700,000 Vodafone Group PLC 5.375% 30.01.2015 1,774,885 1.12 02 1,500,000 Vodafone Group PLC 4.150% 10.06.2014 1,514,820 0.96 09 1,200,000 Vodafone Group PLC 0.900% 19.02.2016 1,202,580 0.76 13 Total - United Kingdom 12,566,440 7.95 United States 1,000,000 American Express 5.125% 25.08.2014 1,022,620 0.65 Credit Corp 09 500,000 Anheuser-Busch 0.429% 27.01.2017 500,305 0.32 InBev Finance Inc 14 FRN 300,000 Anheuser-Busch 0.639% 01.02.2019 299,857 0.19 InBev Finance Inc 14 FRN 1,000,000 AT&T Inc 04 5.100% 15.09.2014 1,024,720 0.65 1,000,000 Bank of America Corp 1.500% 09.10.2015 1,011,050 0.64 12 150,000 Bank of America Corp 1.279% 15.01.2019 151,422 0.10 13 FRN 500,000 Bank of New York 0.466% 04.03.2016 499,305 0.32 Mellon Corp/The 13 FRN 500,000 Berkshire Hathaway 0.390% 10.01.2017 500,600 0.32 Finance Corp 14 FRN 500,000 Citigroup Inc 13 1.300% 01.04.2016 503,150 0.32 250,000 Citigroup Inc 13 FRN 1.199% 25.07.2016 252,789 0.16 500,000 Daimler Finance 0.842% 09.01.2015 501,704 0.32 North America LLC 13 FRN 1,500,000 Dexia Credit Local 0.716% 29.04.2014 1,500,510 0.95 SA/New York NY 10 FRN 1,000,000 Dexia Credit Local 1.250% 18.10.2016 1,005,330 0.64 SA/New York NY 13 500,000 Fifth Third 0.746% 18.11.2016 500,883 0.32 Bank/Cincinnati OH 13 FRN 1,000,000 General Electric 0.622% 09.01.2015 1,003,361 0.63 Capital Corp 13 FRN 750,000 General Electric 0.839% 08.01.2016 755,843 0.48 Capital Corp 13 FRN 500,000 General Electric 0.472% 14.01.2016 500,420 0.32 Capital Corp 14 FRN 1,250,000 General Electric Co 12 0.850% 09.10.2015 1,258,200 0.80 500,000 Glencore Funding 1.394% 27.05.2016 500,170 0.32 LLC 13 FRN 1,000,000 Goldman Sachs 5.000% 01.10.2014 1,025,410 0.65 Group Inc/The 04 500,000 Hewlett-Packard Co 1.182% 14.01.2019 500,946 0.32 14 FRN 500,000 Inter-American Investment Corp 12 FRN 0.586% 16.11.2015 502,295 0.32 * Any deviations of the percentages of the net assets are due to rounding. 19
Vontobel Fund - US Dollar Money Portfolio as at February 28, 2014 1,000,000 International Business 0.304% 05.02.2016 1,001,080 0.63 Machines Corp 14 FRN 1,000,000 International Business 0.604% 12.02.2019 1,003,396 0.64 Machines Corp 14 FRN 1,000,000 JPMorgan Chase & 5.125% 15.09.2014 1,023,850 0.65 Co 04 500,000 Morgan Stanley 13 1.519% 25.04.2018 509,615 0.32 FRN 500,000 Morgan Stanley 13 1.485% 25.02.2016 507,325 0.32 FRN 500,000 PepsiCo Inc 12 0.700% 13.08.2015 501,580 0.32 500,000 PepsiCo Inc 13 FRN 0.444% 26.02.2016 500,920 0.32 500,000 Pfizer Inc 13 FRN 0.543% 15.06.2018 500,600 0.32 1,241,914 SLM Private Credit 0.443% 15.06.2021 1,227,165 0.78 Student Loan Trust 2004-B 04 FRN 500,000 Toyota Motor Credit 0.875% 17.07.2015 503,435 0.32 Corp 12 500,000 Toyota Motor Credit 0.628% 17.01.2019 500,605 0.32 Corp 14 FRN 250,000 WellPoint Inc 12 1.250% 10.09.2015 252,455 0.16 500,000 Wells Fargo & Co 05 0.435% 28.10.2015 499,880 0.32 FRN Total - United States 23,852,794 15.10 Total - Bonds Total - Transferable securities admitted to an official exchange 93,872,611 59.41 93,872,611 59.41 Transferable securities and money market instruments dealt in on another regulated market Bonds Australia 1,000,000 BHP Billiton Finance 0.497% 30.09.2016 1,000,640 0.63 USA Ltd 13 FRN 1,000,000 Commonwealth Bank 0.750% 15.01.2016 1,002,550 0.63 of Australia 13 450,000 National Australia 0.666% 02.12.2016 451,071 0.29 Bank Ltd 13 FRN 1,500,000 Westpac Banking 0.950% 12.01.2016 1,510,365 0.96 Corp 13 Total - Australia 3,964,626 2.51 Canada 1,000,000 Bank of Montreal 13 0.759% 15.07.2016 1,005,850 0.64 FRN 750,000 Bank of Nova Scotia 0.759% 15.07.2016 754,328 0.48 13 FRN 1,000,000 Bank of Nova Scotia 0.654% 13.12.2016 1,002,700 0.63 13 FRN 400,000 Caisse Centrale 0.516% 29.10.2015 400,594 0.25 Desjardins 13 FRN 1,000,000 Canadian Imperial 0.900% 01.10.2015 1,006,620 0.64 Bank of Commerce/Canada 12 750,000 Canadian Imperial 0.757% 18.07.2016 753,825 0.48 Bank of Commerce/Canada 13 FRN 400,000 Royal Bank of Canada 0.463% 16.12.2015 400,568 0.25 13 FRN 500,000 Toronto-Dominion 0.436% 06.11.2015 500,465 0.32 Bank 13 FRN Total - Canada 5,824,950 3.69 France 1,000,000 Banque Federative du 1.085% 28.10.2016 1,003,760 0.64 Credit Mutuel SA 13 FRN 265,000 BNP Paribas SA 13 0.824% 12.12.2016 265,835 0.17 FRN 1,000,000 BPCE SA 14 FRN 1.084% 10.02.2017 1,002,930 0.63 1,000,000 Credit Agricole Home 0.987% 21.07.2014 1,002,415 0.63 Loan SFH 11 FRN Total - France 3,274,940 2.07 Japan 500,000 Bank of Tokyo- 3.850% 22.01.2015 514,325 0.33 Mitsubishi UFJ Ltd 10 250,000 Bank of Tokyo- 0.845% 09.09.2016 251,148 0.16 Mitsubishi UFJ Ltd 13 FRN 1,000,000 Bank of Tokyo- 0.684% 26.02.2016 999,710 0.63 Mitsubishi UFJ Ltd 13 FRN 1,000,000 Sumitomo Mitsui 0.900% 18.01.2016 1,002,760 0.63 Banking Corp 13 1,000,000 Sumitomo Mitsui 0.907% 19.07.2016 1,005,900 0.64 Banking Corp 13 FRN 500,000 Sumitomo Mitsui 0.670% 10.01.2017 500,745 0.32 Banking Corp 14 FRN 500,000 Sumitomo Mitsui 1.024% 16.09.2016 504,595 0.32 Trust Bank Ltd 13 FRN Total - Japan 4,779,183 3.02 Korea, Republic Of 1,000,000 Export-Import Bank 1.250% 20.11.2015 1,008,150 0.64 of Korea 12 250,000 Export-Import Bank 1.094% 17.09.2016 251,928 0.16 of Korea 13 FRN 400,000 Hana Bank 13 1.375% 05.02.2016 401,336 0.25 Total - Korea, Republic Of 1,661,414 1.05 Mexico 1,000,000 America Movil SAB 1.234% 12.09.2016 1,014,580 0.64 de CV 13 FRN Total - Mexico 1,014,580 0.64 Netherlands 1,500,000 ABN AMRO Bank NV 1.375% 22.01.2016 1,515,810 0.96 13 1,700,000 ABN AMRO Bank NV 1.035% 28.10.2016 1,708,517 1.08 13 FRN Total - Netherlands 3,224,327 2.04 New Zealand 1,000,000 ANZ New Zealand 0.714% 27.04.2017 1,001,750 0.63 Int'l Ltd/London 14 FRN Total - New Zealand 1,001,750 0.63 * Any deviations of the percentages of the net assets are due to rounding. 20
Vontobel Fund - US Dollar Money Portfolio as at February 28, 2014 Norway 200,000 Nordea 1.875% 07.04.2014 200,306 0.13 Eiendomskreditt AS 11 500,000 Statoil ASA 13 FRN 0.697% 08.11.2018 502,769 0.32 Total - Norway 703,075 0.44 Panama 250,000 Carnival Corp 13 1.200% 05.02.2016 251,330 0.16 Total - Panama 251,330 0.16 Sweden 1,000,000 Svenska 0.716% 23.09.2016 1,003,680 0.64 Handelsbanken AB 13 FRN 1,000,000 Svenska 0.696% 21.03.2016 1,003,920 0.64 Handelsbanken AB 13 FRN Total - Sweden 2,007,600 1.27 United Kingdom 1,000,000 ANZ New Zealand 1.133% 28.05.2015 1,007,800 0.64 Int'l Ltd/London 08 FRN 250,000 BP Capital s 0.876% 26.09.2018 251,233 0.16 PLC 13 FRN 500,000 BP Capital s 0.777% 10.05.2019 500,756 0.32 PLC 14 FRN 1,000,000 British 1.625% 28.06.2016 1,016,470 0.64 Telecommunications PLC 13 1,000,000 Rio Tinto Finance 0.794% 19.06.2015 1,002,650 0.63 USA PLC 13 FRN Total - United Kingdom 3,778,909 2.39 United States 1,000,000 American Express Co 0.826% 22.05.2018 1,002,540 0.63 13 FRN 250,000 American Honda 0.740% 07.10.2016 251,873 0.16 Finance Corp 13 FRN 500,000 AT&T Inc 13 FRN 1.144% 27.11.2018 505,541 0.32 500,000 Bank of America Corp 1.066% 22.03.2016 503,690 0.32 13 FRN 1,000,000 Bank of America NA 0.706% 14.11.2016 1,002,440 0.63 13 FRN 500,000 Bank of America NA 0.706% 14.02.2017 500,835 0.32 14 FRN 700,000 Capital One Financial 0.876% 06.11.2015 702,293 0.44 Corp 12 FRN 500,000 Caterpillar Financial 0.700% 06.11.2015 502,090 0.32 Services Corp 12 500,000 Caterpillar Financial 0.474% 26.02.2016 501,045 0.32 Services Corp 13 FRN 250,000 Caterpillar Financial 1.000% 03.03.2017 249,957 0.16 Services Corp 14 500,000 Caterpillar Financial 0.466% 03.03.2017 500,149 0.32 Services Corp 14 FRN 500,000 Chevron Corp 13 0.889% 24.06.2016 504,105 0.32 500,000 Cisco Systems Inc 14 0.733% 01.03.2019 502,454 0.32 FRN 250,000 Cisco Systems Inc 14 0.516% 03.03.2017 250,580 0.16 FRN 500,000 Coca-Cola Co/The 13 0.338% 01.11.2016 500,505 0.32 FRN 1,250,000 Commonwealth Bank 1.250% 18.09.2015 1,265,188 0.80 of Australia/New York NY 12 2,500,000 Daimler Finance 1.875% 15.09.2014 2,518,675 1.59 North America LLC 11 250,000 ebay Inc 12 0.700% 15.07.2015 251,103 0.16 1,000,000 Ford Motor Credit Co 1.018% 17.01.2017 1,004,533 0.64 LLC 13 FRN 1,700,000 General Electric 1.277% 02.07.2015 1,719,632 1.09 Capital Corp 12 FRN 1,750,000 General Electric 0.892% 12.07.2016 1,766,555 1.12 Capital Corp 13 FRN 1,000,000 General Electric 0.957% 02.04.2018 1,005,920 0.64 Capital Corp 13 FRN 500,000 Goldman Sachs 1.336% 15.11.2018 505,185 0.32 Group Inc 13 FRN 250,000 John Deere Capital 0.532% 11.10.2016 250,773 0.16 Corp 13 FRN 250,000 John Deere Capital 1.050% 15.12.2016 251,283 0.16 Corp 14 500,000 John Deere Capital 0.328% 25.02.2016 500,000 0.32 Corp 14 FRN 250,000 Johnson & Johnson 0.303% 28.11.2016 250,113 0.16 13 FRN 2,000,000 JPMorgan Chase & 0.899% 15.10.2015 2,010,360 1.27 Co 12 FRN 250,000 Kroger Co 13 FRN 0.804% 17.10.2016 250,340 0.16 1,500,000 Merck & Co Inc 13 0.596% 18.05.2018 1,503,780 0.95 FRN 500,000 Metropolitan Life 2.000% 09.01.2015 506,828 0.32 Global Funding I 12 1,000,000 Morgan Stanley 14 1.087% 24.01.2019 1,000,680 0.63 FRN 1,000,000 National Australia 0.785% 25.07.2016 1,006,330 0.64 Bank Ltd/New York 13 FRN 500,000 Nissan Motor 0.946% 26.09.2016 503,395 0.32 Acceptance Corp 13 FRN 200,000 Nissan Motor 0.787% 03.03.2017 200,390 0.13 Acceptance Corp 14 FRN 500,000 PACCAR Financial 0.750% 14.08.2015 502,969 0.32 Corp 12 250,000 PACCAR Financial 1.150% 16.08.2016 252,023 0.16 Corp 13 250,000 PACCAR Financial 0.835% 06.12.2018 251,752 0.16 Corp 13 FRN 200,000 Toyota Motor Credit 0.393% 18.09.2015 200,277 0.13 Corp 13 FRN 500,000 US Bancorp/MN 13 0.726% 15.11.2018 499,773 0.32 FRN 1,000,000 US Bank 0.466% 30.01.2017 1,000,856 0.63 NA/Cincinnati OH 14 FRN 250,000 Walt Disney Co 12 0.450% 01.12.2015 250,330 0.16 Total - United States 29,209,134 18.49 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 60,695,817 38.41 60,695,817 38.41 154,568,427 97.82 * Any deviations of the percentages of the net assets are due to rounding. 21
Vontobel Fund - Swiss Franc Bond Notes Cost CHF Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 324,333,810 337,775,600 Cash at banks Receivable from subscriptions Interest and dividends receivable 4,290,081 531,421 2,951,909 Receivable for investments sold 216,277 (9) Unrealised gain on forward foreign exchange contracts Total Assets 442,126 346,207,414 Liabilities Payable for redemptions 639,095 Payable for investments purchased 2,001,881 Audit fees, printing and publishing expenses 8,307 (5) Service Fee payable 47,694 (4) Subscription Tax payable 15,963 (3) Management Fee payable 144,875 Other liabilities 8,952 Total Liabilities 2,866,767 Total net assets at the end of the period 343,340,647 Net assets at the beginning of the period 377,398,573 Net investment income 1,770,612 Change in unrealised appreciation/depreciation on: Investments 733,066 Futures 8,914 Forward foreign exchange contracts 198,001 Net realised gain/loss on investments 390,769 Net realised gain/loss on forward foreign exchange contracts 1,205,544 Net realised gain/loss on currency exchange -280,554 Net realised gain/loss on futures -133,339 Increase/Decrease in net assets resulting from operations 3,893,013 Subscriptions of shares 189,278,293 Redemptions of shares -226,952,166 (11) Dividend distribution -277,066 Total net assets at the end of the period 343,340,647 Income Bank interest 1,056 Net interest on bonds 3,383,952 Other income 248 Total income 3,385,256 (3) Expenses Management Fees 1,133,197 Audit fees, printing and publishing expenses 19,405 (4) Subscription tax 73,999 Bank interest 6,693 (5) Service Fees 340,411 (8) Other Fees payable 40,939 Total Expenses 1,614,644 Net investment income 1,770,612 22
Vontobel Fund - Swiss Franc Bond Portfolio as at February 28, 2014 CHF CHF Transferable securities admitted to an official exchange Bonds Australia 700,000 CHF Australia & New 1.500% 13.02.2019 733,250 0.21 Zealand Banking Group Ltd 12 2,035,000 CHF Macquarie Bank Ltd 3.000% 09.08.2017 2,172,363 0.63 12 870,000 CHF National Australia 0.556% 07.08.2015 873,480 0.25 Bank Ltd 12 FRN 650,000 CHF National Australia 1.000% 17.04.2020 651,300 0.19 Bank Ltd 13 435,000 CHF SPI Electricity & Gas 2.625% 08.09.2015 448,485 0.13 Australia Holdings Pty Ltd 10 2,300,000 CHF Westpac Banking 2.500% 16.02.2017 2,443,750 0.71 Corp 10 1,800,000 National Australia 1.875% 13.01.2023 2,176,350 0.63 Bank Ltd 12 Total - Australia 9,498,977 2.77 Austria 2,000,000 CHF Bundesimmobilienges 2.500% 14.04.2015 2,050,800 0.60 ellschaft mbh 05 1,350,000 CHF Bundesimmobilienges 3.250% 16.07.2019 1,527,525 0.44 ellschaft mbh 07 300,000 CHF Hypo Alpe-Adria- 2.875% 15.10.2014 276,300 0.08 Bank International AG 04 50,000 CHF Hypo Alpe-Adria- 2.750% 12.08.2015 44,625 0.01 Bank International AG 07 1,190,000 CHF Kommunalkredit 2.500% 14.02.2022 1,271,515 0.37 Austria AG 06 1,300,000 CHF Oesterreichische 2.750% 28.01.2020 1,453,400 0.42 Kontrollbank AG 05 1,070,000 CHF Oesterreichische 2.875% 25.02.2030 1,215,520 0.35 Kontrollbank AG 05 1,800,000 CHF Oesterreichische 2.625% 22.11.2024 2,008,800 0.59 Kontrollbank AG 06 2,500,000 CHF Pfandbriefstelle der 2.125% 07.11.2016 2,611,250 0.76 Oesterreichischen Landes- Hypothekenbanken 05 2,500,000 CHF Raiffeisenlandesbank 0.470% 05.12.2014 2,503,250 0.73 Niederoesterreich- Wien AG 12 FRN 1,000,000 CHF Raiffeisenlandesbank 0.902% 18.09.2014 1,002,000 0.29 Oberoesterreich AG 12 FRN 3,500,000 Hypo Alpe-Adria- 2.375% 13.12.2022 4,223,573 1.23 Bank International AG 12 Total - Austria 20,188,558 5.88 Belgium 2,000,000 Anheuser-Busch 2.000% 16.12.2019 2,502,446 0.73 InBev NV 12 1,300,000 Anheuser-Busch 1.250% 24.03.2017 1,602,583 0.47 InBev NV 12 Total - Belgium 4,105,030 1.20 Canada 2,400,000 CHF Province of British 2.875% 27.11.2018 2,682,000 0.78 Columbia 09 2,050,000 CHF Province of 2.125% 15.01.2016 2,126,875 0.62 Saskatchewan Canada 05 4,000,000 CHF Royal Bank of Canada 2.250% 21.04.2021 4,378,000 1.28 11 Total - Canada 9,186,875 2.68 Cayman Islands 150,000 CHF Banco Santander 3.250% 12.04.2016 155,775 0.05 Brasil SA/Cayman Islands 12 4,555,000 CHF QNB Finance Ltd 13 0.548% 13.05.2016 4,523,115 1.32 FRN Total - Cayman Islands 4,678,890 1.36 Chile 865,000 CHF Banco de Chile 13 1.125% 23.05.2018 868,460 0.25 1,500,000 CHF Banco de Chile 13 0.621% 18.07.2016 1,503,750 0.44 FRN 1,815,000 CHF Banco Santander 2.250% 16.12.2015 1,862,190 0.54 Chile 10 Total - Chile 4,234,400 1.23 Denmark 2,840,000 CHF Kommunekredit 06 2.875% 13.10.2031 3,337,000 0.97 Total - Denmark 3,337,000 0.97 Finland 2,000,000 CHF Municipality Finance 3.000% 15.04.2021 2,307,000 0.67 PLC 09 2,000,000 CHF Municipality Finance 2.375% 30.03.2026 2,211,000 0.64 PLC 11 4,500,000 CHF Nordic Investment 2.500% 11.04.2018 4,909,500 1.43 Bank 09 Total - Finland 9,427,500 2.75 France 2,200,000 CHF Banque Federative du 1.625% 11.04.2023 2,139,500 0.62 Credit Mutuel SA 13 3,000,000 CHF BNP Paribas SA 10 1.875% 25.03.2015 3,050,100 0.89 2,000,000 CHF Caisse Francaise de 2.375% 11.03.2015 2,044,600 0.60 Financement Local 05 3,000,000 CHF Caisse Francaise de 2.375% 09.02.2016 3,124,500 0.91 Financement Local 06 930,000 CHF Caisse Francaise de 2.500% 02.05.2018 1,007,190 0.29 Financement Local 09 1,000,000 CHF Cie de Financement 2.375% 24.08.2018 1,083,500 0.32 Foncier SA 05 1,550,000 CHF Cie de Financement 2.000% 20.12.2017 1,643,775 0.48 Foncier SA 10 3,300,000 CHF Credit Agricole Home 1.375% 30.07.2018 3,432,000 1.00 Loan SFH 12 50,000 CHF Dexia Credit Local SA 1.500% 22.04.2014 50,080 0.01 10 1,050,000 CHF RCI Banque SA 12 2.500% 16.07.2015 1,074,045 0.31 2,400,000 CHF Regie Autonome des Transports Parisiens 05 2.125% 21.07.2015 2,462,400 0.72 * Any deviations of the percentages of the net assets are due to rounding. 23
Vontobel Fund - Swiss Franc Bond Portfolio as at February 28, 2014 CHF CHF 2,000,000 CHF Regie Autonome des 2.625% 06.11.2019 2,198,000 0.64 Transports Parisiens 06 2,050,000 CHF Reseau Ferre de 3.250% 30.06.2032 2,409,775 0.70 France 06 745,000 CHF Reseau Ferre de 2.875% 26.02.2021 834,028 0.24 France 09 1,500,000 CHF Reseau Ferre de 2.625% 10.03.2031 1,617,750 0.47 France 11 3,000,000 CHF Societe Nationale des 2.750% 11.06.2018 3,282,000 0.96 Chemins de Fer Francais 09 350,000 CHF Total Capital SA 06 2.375% 13.01.2016 364,175 0.11 750,000 CHF Total Capital SA 06 3.125% 28.06.2018 834,750 0.24 3,000,000 Societe Generale SA 3.000% 31.03.2015 3,744,509 1.09 10 Total - France 36,396,677 10.60 Germany 300,000 CHF Allianz SE 14 FRN 3.250% 31.12.2099 312,300 0.09 1,600,000 CHF KFW 05 2.500% 25.08.2025 1,802,400 0.52 1,500,000 CHF KFW 07 3.375% 30.08.2017 1,672,500 0.49 3,430,000 CHF KFW 10 2.250% 12.08.2020 3,791,865 1.10 1,815,000 CHF Münchener 3.000% 12.06.2017 1,967,460 0.57 Hypothekenbank eg 07 3,072,540 Deutsche 0.100% 15.04.2023 3,760,615 1.10 Bundesrepublik Inflation Linked Bond 12 Total - Germany 13,307,140 3.88 Ireland 780,000 CHF Russian Railways via 2.177% 26.02.2018 788,190 0.23 RZD Capital PLC 13 295,000 CHF UniCredit Bank 3.375% 25.10.2017 313,143 0.09 Ireland PLC 12 1,000,000 Caterpillar 2.750% 06.06.2014 1,223,803 0.36 International Finance Ltd 11 Total - Ireland 2,325,135 0.68 Italy 2,735,000 CHF Italy Government 2.500% 02.03.2015 2,780,128 0.81 International Bond 05 975,000 CHF Italy Government 2.500% 30.01.2018 1,015,950 0.30 International Bond 06 Total - Italy 3,796,078 1.11 Ivory Coast 500,000 CHF African Development 2.625% 25.03.2019 555,750 0.16 Bank 09 Total - Ivory Coast 555,750 0.16 Jersey 4,000,000 CHF Heathrow Funding 2.500% 08.02.2017 4,212,000 1.23 Ltd 12 Total - Jersey 4,212,000 1.23 Korea, Republic Of 1,050,000 CHF Korea Finance Corp 1.375% 02.07.2018 1,070,475 0.31 13 495,000 CHF Korea Gas Corp 11 2.000% 11.10.2016 511,830 0.15 3,000,000 CHF Korea Railroad Corp 1.500% 02.12.2019 3,037,500 0.88 13 Total - Korea, Republic Of 4,619,805 1.35 Liechtenstein 2,000,000 CHF LGT Bank AG 14 1.500% 10.05.2021 2,025,000 0.59 Total - Liechtenstein 2,025,000 0.59 Luxembourg 2,250,000 CHF European Investment 2.375% 10.07.2020 2,481,750 0.72 Bank 05 2,700,000 CHF European Investment 2.625% 11.02.2025 3,028,050 0.88 Bank 10 800,000 CHF European Investment 2.000% 24.08.2022 857,200 0.25 Bank 10 4,000,000 CHF European Investment 1.500% 02.08.2024 4,048,000 1.18 Bank 12 400,000 CHF Gazprom OAO Via 2.850% 25.10.2019 412,000 0.12 Gaz Capital SA 13 2,000,000 CHF Russian Agricultural 3.125% 17.08.2015 2,024,000 0.59 Bank OJSC Via RSHB Capital SA 12 Total - Luxembourg 12,851,000 3.74 Mexico 1,770,000 CHF Petroleos Mexicanos 2.500% 10.04.2019 1,859,385 0.54 12 Total - Mexico 1,859,385 0.54 Netherlands 4,000,000 AUD BMW Finance NV 14 4.375% 23.07.2018 3,181,550 0.93 2,000,000 CHF ABN AMRO Bank NV 1.625% 28.10.2016 2,072,000 0.60 10 4,000,000 CHF ABN AMRO Bank NV 1.125% 25.10.2018 4,060,000 1.18 13 3,700,000 CHF Bank Nederlandse 2.250% 14.10.2020 4,036,700 1.18 Gemeenten 05 3,250,000 CHF Bank Nederlandse 2.500% 21.07.2025 3,589,625 1.05 Gemeenten 05 3,350,000 CHF Cooperatieve 2.125% 11.10.2017 3,549,325 1.03 Centrale Raiffeisen- Boerenleenbank BA/Netherlands 05 4,100,000 CHF Cooperatieve 2.000% 16.09.2021 4,335,750 1.26 Centrale Raiffeisen- Boerenleenbank BA/Netherlands 10 4,500,000 CHF Deutsche Bahn 1.750% 03.06.2020 4,776,750 1.39 Finance BV 10 4,000,000 CHF Deutsche Bahn 1.375% 24.07.2023 4,042,000 1.18 Finance BV 13 1,280,000 CHF EBN BV 11 1.625% 03.10.2023 1,327,360 0.39 5,000,000 CHF EBN BV 12 0.625% 04.07.2019 5,052,500 1.47 990,000 CHF Enel Finance 2.000% 23.12.2015 1,009,800 0.29 International NV 11 2,245,000 CHF Gas Natural Finance BV 13 2.125% 08.02.2019 2,334,800 0.68 * Any deviations of the percentages of the net assets are due to rounding. 24
Vontobel Fund - Swiss Franc Bond Portfolio as at February 28, 2014 CHF CHF 1,020,000 CHF Iberdrola 3.000% 13.02.2017 1,081,710 0.32 International BV 12 1,195,000 CHF Nederlandse 2.500% 20.04.2015 1,227,265 0.36 Waterschapsbank NV 05 2,000,000 CHF Nederlandse 2.375% 27.01.2023 2,199,000 0.64 Waterschapsbank NV 06 200,000 CHF Nederlandse 1.875% 03.02.2020 213,800 0.06 Waterschapsbank NV 10 470,000 CHF PACCAR Financial 1.125% 06.03.2017 479,165 0.14 Europe BV 12 3,000,000 Robert Bosch 1.625% 24.05.2021 3,611,228 1.05 Investment Nederland BV 13 2,000,000 Volkswagen 1.875% 15.05.2017 2,500,914 0.73 International Finance NV 12 2,000,000 ING Bank NV 12 2.000% 25.09.2015 1,794,206 0.52 Total - Netherlands 56,475,448 16.45 New Zealand 2,000,000 CHF ANZ New Zealand 0.773% 23.10.2015 2,015,600 0.59 Int'l Ltd/London 12 FRN 3,500,000 CHF BNZ International 2.000% 18.02.2015 3,560,200 1.04 Funding Ltd 10 Total - New Zealand 5,575,800 1.62 Norway 2,000,000 CHF DNB Boligkreditt AS 1.625% 24.04.2015 2,033,000 0.59 10 3,000,000 CHF Norges Statsbaner AS 1.375% 15.11.2017 3,124,500 0.91 10 2,000,000 CHF Norges Statsbaner AS 2.125% 14.02.2020 2,168,000 0.63 11 500,000 CHF Statnett SF 11 2.375% 08.02.2021 551,250 0.16 Total - Norway 7,876,750 2.29 Philippines 1,350,000 CHF Asian Development 2.750% 12.02.2030 1,552,500 0.45 Bank 10 7,080,000 CHF Asian Development 0.000% 07.02.2016 7,069,380 2.06 Bank 86 Total - Philippines 8,621,880 2.51 Poland 1,200,000 CHF Poland Government 2.250% 15.05.2018 1,267,800 0.37 International Bond 12 Total - Poland 1,267,800 0.37 Slovakia 3,315,000 CHF Slovakia Government 2.125% 25.04.2018 3,508,928 1.02 International Bond 12 2,500,000 Slovakia Government 3.375% 15.11.2024 3,265,220 0.95 Bond 12 Total - Slovakia 6,774,148 1.97 Spain 235,000 CHF Instituto de Credito 2.000% 15.12.2016 241,580 0.07 Oficial 05 * Any deviations of the percentages of the net assets are due to rounding. 1,900,000 CHF Instituto de Credito 3.250% 28.06.2024 1,938,950 0.56 Oficial 07 310,000 CHF Instituto de Credito 2.250% 07.11.2017 319,765 0.09 Oficial 09 500,000 Santander 4.500% 18.05.2015 634,322 0.18 International Debt SAU 11 Total - Spain 3,134,617 0.91 Sweden 4,800,000 CHF Akademiska Hus AB 2.125% 04.07.2018 5,148,000 1.50 10 1,700,000 CHF PKO Finance AB 11 3.538% 07.07.2016 1,796,900 0.52 1,800,000 CHF Svensk Exportkredit 2.625% 28.12.2015 1,881,000 0.55 AB 09 400,000 CHF Svensk Exportkredit 3.000% 27.02.2018 442,000 0.13 AB 09 250,000 CHF Svensk Exportkredit 1.875% 08.03.2017 262,375 0.08 AB 10 900,000 CHF Svensk Exportkredit 1.250% 17.07.2023 897,750 0.26 AB 13 2,000,000 CHF Svenska 0.625% 11.12.2018 2,001,960 0.58 Handelsbanken AB 14 2,300,000 CHF Swedbank Hypotek 2.125% 26.08.2016 2,408,100 0.70 AB 10 Total - Sweden 14,838,085 4.32 Switzerland 850,000 CHF Canton of Geneva 1.500% 28.05.2027 814,725 0.24 Switzerland 12 4,785,000 CHF Kraftwerke Oberhasli 1.875% 21.02.2025 4,741,935 1.38 AG 13 1,400,000 CHF Swisscom AG 12 1.750% 10.07.2024 1,424,500 0.41 3,915,000 CHF Swissgrid AG 13 1.000% 30.01.2020 3,973,725 1.16 2,500,000 CHF Zurich Insurance Co 1.500% 25.06.2019 2,597,500 0.76 Ltd 12 Total - Switzerland 13,552,385 3.95 United Kingdom 1,800,000 CHF Barclays Bank PLC 11 2.500% 29.03.2016 1,879,200 0.55 1,850,000 CHF BP Capital s 3.000% 14.06.2017 2,006,325 0.58 PLC 07 1,250,000 CHF Credit Agricole 2.000% 08.04.2015 1,273,375 0.37 SA/London 10 2,500,000 CHF HSBC Bank PLC 10 1.875% 01.09.2016 2,595,000 0.76 2,160,000 CHF Network Rail 2.750% 06.10.2021 2,440,800 0.71 Infrastructure Finance PLC 06 550,000 CHF State Bank of India 11 3.375% 22.02.2016 567,875 0.17 2,500,000 Anglo American 2.500% 18.09.2018 3,135,965 0.91 Capital PLC 12 Total - United Kingdom 13,898,540 4.05 United States 785,000 CHF Bank of America Corp 3.000% 23.12.2016 837,203 0.24 10 2,185,000 CHF Citibank Credit Card 2.500% 23.02.2015 2,233,070 0.65 Issuance Trust 05 900,000 CHF Citigroup Inc 06 3.125% 27.09.2021 987,750 0.29 4,700,000 CHF Citigroup Inc 07 3.000% 21.03.2019 5,123,000 1.49 25
Vontobel Fund - Swiss Franc Bond Portfolio as at February 28, 2014 CHF CHF 1,990,000 CHF General Electric 2.500% 08.02.2018 2,137,260 0.62 Capital Corp 06 1,000,000 CHF Inter-American 2.750% 15.04.2019 1,117,000 0.33 Development Bank 09 5,000,000 CHF International Bank for 2.750% 07.05.2019 5,610,000 1.63 Reconstruction & Development 09 1,025,000 CHF JPMorgan Chase & 2.500% 16.03.2015 1,050,523 0.31 Co 05 1,235,000 CHF Toyota Motor Credit 2.875% 20.09.2016 1,319,598 0.38 Corp 06 200,000 Citigroup Inc 07 FRN 0.379% 05.03.2014 243,306 0.07 7,000,000 AT&T Inc 13 FRN 0.619% 12.02.2016 6,171,825 1.80 2,000,000 Newmont Mining 1.250% 15.07.2014 1,763,484 0.51 Corp 07 2,680,000 PepsiCo Inc 13 FRN 0.444% 26.02.2016 2,364,886 0.69 4,000,000 Wal-Mart Stores Inc 0.600% 11.04.2016 3,536,023 1.03 13 Total - United States 34,494,926 10.05 United Kingdom 3,500,000 BP Capital s 0.876% 26.09.2018 3,098,003 0.90 PLC 13 FRN Total - United Kingdom 3,098,003 0.90 United States 2,000,000 General Electric 0.506% 07.08.2018 1,728,749 0.50 Capital Corp 06 FRN 2,000,000 Intel Corp 06 2.950% 15.12.2035 1,989,991 0.58 600,000 Nissan Motor 0.946% 26.09.2016 532,068 0.15 Acceptance Corp 13 FRN Total - United States 4,250,808 1.24 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 12,670,291 12,670,291 3.69 3.69 337,775,600 98.38 Venezuela, Bolivarian Republic Of 4,000,000 CHF Corp Andina de 1.500% 11.09.2018 4,128,000 1.20 Fomento 12 Total - Venezuela, Bolivarian Republic Of 4,128,000 1.20 Total - Bonds 317,243,579 92.40 Investment funds Luxembourg 17,316 CHF Vontobel Fund - Global Convertible Bond 2,117,630 0.62 Total - Luxembourg 2,117,630 0.62 Total - Investment funds 2,117,630 0.62 Total - Transferable securities admitted to an official exchange 319,361,209 93.02 Transferable securities and money market instruments dealt in on another regulated market Bonds Canada 2,000,000 Goldcorp Inc 09 2.000% 01.08.2014 1,772,222 0.52 Total - Canada 1,772,222 0.52 New Zealand 1,930,000 CHF BNZ International 1.125% 20.09.2019 1,957,985 0.57 Funding Ltd 12 Total - New Zealand 1,957,985 0.57 Sweden 1,800,000 Svenska 0.716% 23.09.2016 1,591,274 0.46 Handelsbanken AB 13 FRN Total - Sweden 1,591,274 0.46 * Any deviations of the percentages of the net assets are due to rounding. 26
Vontobel Fund - Euro Bond Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 102,929,243 106,753,300 Cash at banks 7,611,075 Receivable from foreign currencies 241 Receivable from subscriptions 136,562 Interest and dividends receivable 1,496,303 Receivable for investments sold 6,698,333 (9) Unrealised gain on futures 6,700 Total Assets 122,702,514 Liabilities Bank overdraft 6,700 Payable for redemptions 3,242,796 Payable for investments purchased 6,395,197 Payable on foreign currencies 243 Interest and dividends payable 243 Audit fees, printing and publishing expenses 1,994 (5) Service Fee payable 16,001 (4) Subscription Tax payable 5,988 (3) Management Fee payable 58,534 Other liabilities 14,075 Total Liabilities 9,741,771 Total net assets at the end of the period 112,960,743 Net assets at the beginning of the period 83,190,894 Net investment income 967,945 Change in unrealised appreciation/depreciation on: Investments -492,300 Futures 4,450 Net realised gain/loss on investments 3,379,991 Net realised gain/loss on currency exchange -152 Net realised gain/loss on futures 88,050 Increase/Decrease in net assets resulting from operations 3,947,984 Subscriptions of shares 43,248,973 Redemptions of shares -17,255,325 (11) Dividend distribution -171,783 Total net assets at the end of the period 112,960,743 Income Net interest on bonds 1,405,188 Other income 54 Total income 1,405,242 (3) Expenses Management Fees 323,047 Audit fees, printing and publishing expenses 4,049 (4) Subscription tax 16,930 Bank interest 17 (5) Service Fees 80,894 (8) Other Fees payable 12,360 Total Expenses 437,297 Net investment income 967,945 27
Vontobel Fund - Euro Bond Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Austria 2,000,000 Austria Government 3.900% 15.07.2020 2,322,600 2.06 Bond 05 1,450,000 Austria Government 6.250% 15.07.2027 2,103,849 1.86 Bond 97 500,000 Erdoel- 2.750% 20.03.2028 511,555 0.45 Lagergesellschaft mbh 13 3,200,000 Hypo Alpe-Adria- 2.375% 13.12.2022 3,174,272 2.81 Bank International AG 12 600,000 OeBB Infrastruktur 3.000% 24.10.2033 626,484 0.55 AG 13 Total - Austria 8,738,760 7.74 Belgium 1,500,000 Belgium Government 2.600% 22.06.2024 1,536,570 1.36 Bond 14 500,000 Belgium Government 5.500% 28.03.2028 664,150 0.59 Bond 98 Total - Belgium 2,200,720 1.95 Cayman Islands 1,000,000 Petrobras Global 3.250% 01.04.2019 1,006,230 0.89 Finance BV 12 Total - Cayman Islands 1,006,230 0.89 Curaçao 500,000 Teva Pharmaceutical 2.875% 15.04.2019 528,365 0.47 Finance IV BV 12 Total - Curaçao 528,365 0.47 Czech Republic 1,750,000 Czech Republic 3.625% 14.04.2021 1,965,653 1.74 International 10 Total - Czech Republic 1,965,653 1.74 Estonia 200,000 Eesti Energia AS 05 4.500% 18.11.2020 221,922 0.20 1,000,000 Eesti Energia AS 12 4.250% 02.10.2018 1,100,680 0.97 Total - Estonia 1,322,602 1.17 France 400,000 Agence Francaise de 1.250% 25.05.2019 401,532 0.36 Developpement 14 500,000 AXA Bank Europe 1.875% 20.09.2019 516,420 0.46 SCF 12 500,000 Bpifrance 2.500% 25.05.2024 508,695 0.45 Financement SA 13 2,000,000 France Government 5.750% 25.10.2032 2,836,100 2.51 Bond OAT 01 2,500,000 France Government 4.000% 25.10.2038 2,909,875 2.58 Bond OAT 06 3,000,000 France Government 3.750% 25.10.2019 3,431,790 3.04 Bond OAT 09 750,000 France Government 3.250% 25.10.2021 838,148 0.74 Bond OAT 11 1,500,000 France Government 2.750% 25.10.2027 1,524,495 1.35 Bond OAT 12 * Any deviations of the percentages of the net assets are due to rounding. 5,000,000 France Government 2.250% 25.05.2024 5,025,000 4.45 Bond OAT 13 200,000 Legrand SA 10 4.250% 24.02.2017 219,138 0.19 Total - France 18,211,193 16.12 Germany 500,000 Berlin Hyp AG 14 1.625% 29.01.2019 505,905 0.45 500,000 Bundesrepublik 4.000% 04.01.2037 635,490 0.56 Deutschland 05 2,300,000 Bundesrepublik 1.500% 15.02.2023 2,309,890 2.04 Deutschland 13 250,000 Bundesrepublik 1.750% 15.02.2024 252,883 0.22 Deutschland 14 250,000 Commerzbank AG 13 1.625% 19.10.2020 254,550 0.23 500,000 FMS 3.000% 08.09.2021 554,160 0.49 Wertmanagement AoeR 11 Total - Germany 4,512,878 4.00 Ireland 300,000 Bank of Ireland 3.250% 22.06.2015 308,334 0.27 Mortgage Bank 05 400,000 Bank of Ireland 4.625% 16.09.2014 407,940 0.36 Mortgage Bank 09 1,000,000 German Postal 3.750% 18.01.2021 1,144,560 1.01 Pensions Securitisation PLC 05 1,650,000 German Postal 3.375% 18.01.2016 1,739,595 1.54 Pensions Securitisation PLC 05 500,000 Ireland Government 5.500% 18.10.2017 576,700 0.51 Bond 12 1,000,000 Ireland Government 3.400% 18.03.2024 1,025,780 0.91 Bond 14 Total - Ireland 5,202,909 4.61 Israel 500,000 Israel Government 4.625% 18.03.2020 576,105 0.51 International Bond 10 1,000,000 Israel Government 2.875% 29.01.2024 1,017,790 0.90 International Bond 14 Total - Israel 1,593,895 1.41 Italy 750,000 Eni SpA 11 4.875% 11.10.2017 843,390 0.75 250,000 Intesa Sanpaolo SpA 3.250% 28.04.2017 266,360 0.24 12 500,000 Intesa Sanpaolo SpA 3.750% 25.09.2019 554,895 0.49 12 1,000,000 Intesa Sanpaolo SpA 2.250% 24.09.2018 1,035,690 0.92 13 500,000 Intesa Sanpaolo SpA 3.375% 24.01.2025 525,180 0.46 13 500,000 Italy Buoni Poliennali 6.000% 01.05.2031 618,440 0.55 Del Tesoro 00 6,000,000 Italy Buoni Poliennali 4.250% 01.02.2019 6,600,900 5.84 Del Tesoro 03 1,000,000 Italy Buoni Poliennali 3.750% 01.08.2015 1,042,300 0.92 Del Tesoro 05 500,000 Italy Buoni Poliennali Del Tesoro 06 3.750% 01.08.2016 530,790 0.47 28
Vontobel Fund - Euro Bond Portfolio as at February 28, 2014 1,500,000 Italy Buoni Poliennali 4.750% 15.09.2016 1,631,295 1.44 Del Tesoro 11 2,000,000 Italy Buoni Poliennali 3.500% 01.11.2017 2,125,840 1.88 Del Tesoro 12 500,000 Italy Buoni Poliennali 6.500% 01.11.2027 640,015 0.57 Del Tesoro 97 1,000,000 Italy Government 5.750% 25.07.2016 1,102,480 0.98 International Bond 01 500,000 UniCredit SpA 10 2.625% 31.10.2015 515,535 0.46 1,000,000 UniCredit SpA 11 5.250% 30.04.2023 1,218,070 1.08 400,000 UniCredit SpA 12 3.375% 11.01.2018 421,940 0.37 1,000,000 UniCredit SpA 13 1.875% 31.01.2019 1,013,440 0.90 350,000 UniCredit SpA 13 2.625% 31.10.2020 362,999 0.32 Total - Italy 21,049,559 18.63 Jersey 400,000 Heathrow Funding 4.375% 25.01.2017 436,256 0.39 Ltd 12 Total - Jersey 436,256 0.39 Korea, Republic Of 600,000 Export-Import Bank 4.625% 20.02.2017 658,314 0.58 of Korea 07 Total - Korea, Republic Of 658,314 0.58 Latvia 250,000 Republic of Latvia 14 2.625% 21.01.2021 256,095 0.23 Total - Latvia 256,095 0.23 Lithuania 200,000 Lithuania 4.850% 07.02.2018 224,650 0.20 Government International Bond 07 Total - Lithuania 224,650 0.20 Luxembourg 200,000 European Investment 5.500% 15.02.2018 237,050 0.21 Bank 98 500,000 European Union 11 2.750% 21.09.2021 543,430 0.48 Total - Luxembourg 780,480 0.69 Netherlands 400,000 Alliander NV 12 2.250% 14.11.2022 403,472 0.36 400,000 Allianz Finance II BV 3.500% 14.02.2022 441,832 0.39 12 500,000 Cooperatieve 2.544% 18.10.2014 501,800 0.44 Centrale Raiffeisen- Boerenleenbank BA/Netherlands 04 FRN 1,400,000 KBC Internationale 3.600% 31.03.2014 1,402,786 1.24 Financieringsmaatsch appij NV 08 FRN 500,000 Robert Bosch 1.625% 24.05.2021 494,750 0.44 Investment Nederland BV 13 Total - Netherlands 3,244,640 2.87 New Zealand 1,250,000 BNZ International 3.125% 23.11.2017 1,357,800 1.20 Funding Ltd 10 Total - New Zealand 1,357,800 1.20 Poland 1,500,000 Poland Government 4.000% 23.03.2021 1,706,925 1.51 International Bond 10 519,000 Poland Government 5.250% 20.01.2025 640,472 0.57 International Bond 10 Total - Poland 2,347,397 2.08 Russia 800,000 Russian Foreign Bond 3.625% 16.09.2020 829,024 0.73 - Eurobond 13 Total - Russia 829,024 0.73 Slovakia 1,250,000 Slovakia Government 4.350% 14.10.2025 1,453,475 1.29 Bond 10 4,000,000 Slovakia Government 4.000% 27.04.2020 4,566,400 4.04 Bond 10 700,000 Slovakia Government 3.375% 15.11.2024 751,541 0.67 Bond 12 500,000 Slovakia Government 4.375% 15.05.2017 559,765 0.50 International Bond 07 750,000 Slovakia Government 4.375% 21.01.2015 776,813 0.69 International Bond 09 900,000 SPP Infrastructure 3.750% 18.07.2020 949,797 0.84 financing BV 13 Total - Slovakia 9,057,791 8.02 Slovenia 500,000 Slovenia Government 4.375% 06.02.2019 538,675 0.48 Bond 08 500,000 Slovenia Government 4.125% 26.01.2020 525,740 0.47 Bond 10 1,400,000 Slovenia Government 4.000% 22.03.2018 1,490,720 1.32 International Bond 07 1,000,000 Slovenska izvozna in 3.000% 21.04.2015 1,007,890 0.89 razvojna banka dd 10 Total - Slovenia 3,563,025 3.15 Spain 2,000,000 BBVA Senior Finance 3.625% 03.10.2014 2,034,640 1.80 SAU 12 800,000 FADE - Fondo de 5.900% 17.03.2021 947,752 0.84 Amortizacion del Deficit Electrico 11 1,000,000 Instituto de Credito 4.375% 20.05.2019 1,101,900 0.98 Oficial 09 1,300,000 Instituto de Credito 2.375% 31.10.2015 1,331,785 1.18 Oficial 13 600,000 Santander Consumer Finance SA 14 1.450% 29.01.2016 602,502 0.53 * Any deviations of the percentages of the net assets are due to rounding. 29
Vontobel Fund - Euro Bond Portfolio as at February 28, 2014 500,000 Santander 4.375% 04.09.2014 509,230 0.45 International Debt SAU 12 1,000,000 Spain Government 5.500% 30.07.2017 1,128,100 1.00 Bond 02 1,000,000 Spain Government 4.600% 30.07.2019 1,120,480 0.99 Bond 09 500,000 Spain Government 3.750% 31.10.2018 538,265 0.48 Bond 13 2,000,000 Spain Government 3.800% 30.04.2024 2,049,960 1.81 Bond 14 Total - Spain 11,364,614 10.06 Sweden 800,000 PKO Finance AB 10 3.733% 21.10.2015 834,224 0.74 Total - Sweden 834,224 0.74 United Kingdom 750,000 Abbey National 1.750% 15.01.2018 761,055 0.67 Treasury Services PLC/London 13 500,000 BG Energy Capital 3.000% 16.11.2018 536,810 0.48 PLC 11 Total - United Kingdom 1,297,865 1.15 United States 600,000 3M Co 13 1.875% 15.11.2021 601,428 0.53 750,000 International Business 1.875% 06.11.2020 756,638 0.67 Machines Corp 13 600,000 Procter & Gamble 2.000% 05.11.2021 605,676 0.54 Co/The 13 250,000 Verizon 2.375% 17.02.2022 251,623 0.22 Communications Inc 14 Total - United States 2,215,364 1.96 Total - Bonds Total - Transferable securities admitted to an official exchange Total - Investment in securities 104,800,300 92.78 104,800,300 92.78 106,753,300 94.50 * Any deviations of the percentages of the net assets are due to rounding. 30
Vontobel Fund - Corporate Bond Mid Yield Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 411,110,455 434,551,462 Cash at banks Receivable from foreign currencies Receivable from subscriptions Interest and dividends receivable 14,283,835 82,899 1,461,488 8,259,749 (9) Interest receivable on swaps 48,611 (9) Unrealised gain on forward foreign exchange contracts 24,094 (9) Unrealised gain on swaps 342,919 Total Assets 459,055,057 Liabilities Bank overdraft 3,651 Provision for expenses 1,520 Payable for redemptions 540,915 Payable for investments purchased 5,650,804 Payable on foreign currencies 82,928 Audit fees, printing and publishing expenses 8,882 (5) Service Fee payable 60,858 (4) Subscription Tax payable 20,511 (3) Management Fee payable 303,551 Other liabilities 13,030 Total Liabilities 6,686,650 Total net assets at the end of the period 452,368,407 Net assets at the beginning of the period 303,237,104 Net investment income 6,194,668 Change in unrealised appreciation/depreciation on: Investments 16,469,339 Forward foreign exchange contracts 26,736 Swaps 440,207 Net realised gain/loss on investments -1,955,306 Net realised gain/loss on forward foreign exchange contracts 69,363 Net realised gain/loss on currency exchange 34,740 Net realised gain/loss on swaps 30,558 Increase/Decrease in net assets resulting from operations 21,310,305 Subscriptions of shares 188,288,416 Redemptions of shares -59,641,862 (11) Dividend distribution -825,556 Total net assets at the end of the period 452,368,407 Income Net interest on bonds 8,057,615 Interest on Swaps 131,667 Other income 280 Total income 8,189,562 (3) Expenses Management Fees 1,515,646 Audit fees, printing and publishing expenses 21,979 (4) Subscription tax 57,437 Bank interest 2,203 Interest on Contracts for Difference 16,528 (5) Service Fees 365,705 (8) Other Fees payable 15,396 Total Expenses 1,994,894 Net investment income 6,194,668 31
Vontobel Fund - Corporate Bond Mid Yield Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Belgium 1,500,000 Anheuser-Busch 2.000% 16.12.2019 1,542,795 0.34 InBev NV 12 3,250,000 Barry Callebaut 5.625% 15.06.2021 3,706,430 0.82 Services NV 11 Total - Belgium 5,249,225 1.16 Curaçao 1,500,000 Teva Pharmaceutical 2.875% 15.04.2019 1,585,095 0.35 Finance IV BV 12 Total - Curaçao 1,585,095 0.35 Denmark 600,000 TDC A/S 09 5.875% 16.12.2015 653,904 0.14 1,000,000 TDC A/S 12 3.750% 02.03.2022 1,101,950 0.24 Total - Denmark 1,755,854 0.39 France 300,000 Alstom SA 10 2.875% 05.10.2015 308,454 0.07 2,000,000 Alstom SA 10 4.500% 18.03.2020 2,179,500 0.48 700,000 Alstom SA 10 3.625% 05.10.2018 739,046 0.16 500,000 Alstom SA 12 2.250% 11.10.2017 506,025 0.11 3,500,000 Areva SA 13 3.250% 04.09.2020 3,659,565 0.81 10,000,000 AXA SA 06 FRN 5.777% 31.12.2099 10,608,900 2.35 2,500,000 AXA SA 13 FRN 5.125% 04.07.2043 2,743,950 0.61 4,500,000 Bouygues SA 12 4.500% 09.02.2022 5,197,680 1.15 2,500,000 BPCE SA 10 FRN 9.000% 31.12.2099 2,660,325 0.59 1,500,000 BPCE SA 13 4.625% 18.07.2023 1,649,745 0.36 500,000 Caisse de 4.000% 10.01.2022 582,350 0.13 Refinancement de l'habitat SA 11 1,250,000 Cie de St-Gobain 10 4.000% 08.10.2018 1,385,988 0.31 3,000,000 Cie de St-Gobain 11 4.500% 30.09.2019 3,425,160 0.76 3,000,000 CNP Assurances 11 6.875% 30.09.2041 3,467,640 0.77 FRN 6,500,000 Electricite de France 4.250% 31.12.2099 6,788,665 1.50 13 FRN 3,000,000 Electricite de France 5.375% 31.12.2099 3,226,770 0.71 13 FRN 500,000 Electricite de France 5.000% 31.12.2099 520,930 0.12 14 FRN 5,000,000 GDF Suez 13 FRN 3.875% 31.12.2099 5,192,000 1.15 1,500,000 Gecina SA 10 4.500% 19.09.2014 1,531,140 0.34 5,000,000 Gecina SA 13 2.875% 30.05.2023 4,944,950 1.09 4,500,000 JCDecaux SA 13 2.000% 08.02.2018 4,598,955 1.02 500,000 Lafarge SA 05 4.750% 23.03.2020 547,635 0.12 1,600,000 Lafarge SA 09 8.875% 24.11.2016 1,895,104 0.42 1,250,000 Lafarge SA 10 6.625% 29.11.2018 1,453,275 0.32 1,500,000 Lafarge SA 13 4.750% 30.09.2020 1,629,180 0.36 4,500,000 Natixis 07 FRN 6.307% 31.12.2099 4,875,930 1.08 600,000 Pernod Ricard SA 09 7.000% 15.01.2015 632,550 0.14 500,000 Pernod Ricard SA 10 4.875% 18.03.2016 538,575 0.12 500,000 Pernod Ricard SA 11 5.000% 15.03.2017 554,995 0.12 3,000,000 RCI Banque SA 12 5.625% 13.03.2015 3,143,640 0.69 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 32 1,000,000 RCI Banque SA 13 2.875% 22.01.2018 1,049,800 0.23 4,000,000 Valeo SA 14 3.250% 22.01.2024 4,158,960 0.92 3,500,000 Vallourec SA 11 4.250% 14.02.2017 3,826,340 0.85 4,500,000 Vinci SA 06 FRN 6.250% 31.12.2099 4,827,690 1.07 2,000,000 Vinci SA 12 3.375% 30.03.2020 2,175,640 0.48 1,500,000 Vivendi SA 10 4.000% 31.03.2017 1,630,830 0.36 1,200,000 Vivendi SA 11 4.750% 13.07.2021 1,383,132 0.31 1,000,000 Vivendi SA 12 4.125% 18.07.2017 1,096,340 0.24 3,750,000 GBP RCI Banque SA 13 3.250% 25.04.2018 4,654,893 1.03 3,000,000 AXA SA 13 5.500% 31.12.2099 2,191,022 0.48 Total - France 108,183,269 23.91 Germany 2,500,000 CHF Allianz SE 14 FRN 3.250% 31.12.2099 2,139,305 0.47 4,000,000 Allianz SE 12 FRN 5.625% 17.10.2042 4,629,040 1.02 2,000,000 Allianz SE 13 FRN 4.750% 31.12.2099 2,109,060 0.47 1,500,000 Bundesrepublik 4.750% 04.07.2034 2,067,900 0.46 Deutschland 03 3,000,000 Hella KGaA Hueck & 2.375% 24.01.2020 3,058,230 0.68 Co 13 1,500,000 Metro AG 12 3.375% 01.03.2019 1,625,310 0.36 2,000,000 MTU Aero Engines 3.000% 21.06.2017 2,103,580 0.47 AG 12 4,500,000 Münchener 5.767% 29.06.2049 4,892,445 1.08 Rückversicherungs AG 07 FRN 1,800,000 PERI GmbH 10 5.000% 06.08.2015 1,881,900 0.42 500,000 RWE AG 03 5.750% 14.02.2033 652,600 0.14 Total - Germany 25,159,370 5.56 Guernsey 1,000,000 CHF Credit Suisse Group 7.125% 22.03.2022 907,920 0.20 Guernsey IV Ltd 12 FRN Total - Guernsey 907,920 0.20 Ireland 5,500,000 Aquarius and 4.250% 02.10.2043 5,807,230 1.28 Investments PLC for Zurich Insurance Co Ltd 13 FRN 1,000,000 Bank of Ireland 4.625% 16.09.2014 1,019,850 0.23 Mortgage Bank 09 2,000,000 Bank of Ireland 3.125% 20.11.2015 2,067,660 0.46 Mortgage Bank 12 500,000 Bank of Ireland 1.875% 13.05.2017 507,155 0.11 Mortgage Bank 13 Total - Ireland 9,401,895 2.08 Italy 6,500,000 Assicurazioni Generali 10.125% 10.07.2042 SpA 12 FRN 8,685,950 1.92 2,000,000 Assicurazioni Generali 2.875% 14.01.2020 2,061,260 0.46 SpA 14 2,000,000 Banca Monte dei 5.000% 09.02.2018 2,181,580 0.48 Paschi di Siena SpA 11 2,500,000 Enel SpA 13 FRN 6.500% 10.01.2074 2,727,175 0.60 1,000,000 Enel SpA 14 FRN 5.000% 15.01.2075 1,022,810 0.23
Vontobel Fund - Corporate Bond Mid Yield Portfolio as at February 28, 2014 2,500,000 Eni SpA 12 4.250% 03.02.2020 2,831,675 0.63 3,000,000 Intesa Sanpaolo SpA 8.375% 31.12.2099 3,417,270 0.76 09 FRN 2,200,000 Mediobanca SpA 06 3.750% 02.02.2016 2,302,784 0.51 1,000,000 Mediobanca SpA 12 3.750% 12.10.2015 1,041,080 0.23 800,000 Mediobanca SpA 13 5.750% 18.04.2023 860,800 0.19 3,000,000 Telecom Italia SpA 09 8.250% 21.03.2016 3,371,520 0.75 1,700,000 UniCredit SpA 12 3.375% 11.01.2018 1,793,245 0.40 800,000 UniCredit SpA 13 2.750% 31.01.2020 839,552 0.19 2,500,000 UniCredit SpA 13 1.875% 31.01.2019 2,533,600 0.56 2,500,000 GBP Telecom Italia SpA 04 6.375% 24.06.2019 3,273,104 0.72 Total - Italy 38,943,405 8.61 Japan 2,200,000 Sumitomo Mitsui 4.000% 09.11.2020 2,453,616 0.54 Banking Corp 10 Total - Japan 2,453,616 0.54 Jersey 4,500,000 Heathrow Funding 4.375% 25.01.2017 4,907,880 1.08 Ltd 12 5,000,000 HSBC Capital Funding 5.369% 31.12.2099 5,010,300 1.11 LP/Jersey 03 FRN 870,663 Oxford Street Finance 3.308% 07.04.2044 0 0.00 Ltd 05 FRN ** 365,385 Sydney Street Finance 3.708% 07.07.2043 0 0.00 Ltd 05 FRN ** 4,500,000 UBS AG/Jersey 07 7.152% 31.12.2099 5,073,255 1.12 FRN 2,500,000 HBOS Capital 6.850% 31.12.2099 1,819,915 0.40 Funding LP 03 Total - Jersey 16,811,350 3.72 Luxembourg 4,000,000 CNH Industrial 6.250% 09.03.2018 4,558,920 1.01 Finance Europe SA 11 2,200,000 Finmeccanica Finance 5.750% 12.12.2018 2,478,410 0.55 SA/Old 03 1,000,000 Glencore Finance 7.125% 23.04.2015 1,070,120 0.24 Europe SA 08 3,000,000 Glencore Finance 4.625% 03.04.2018 3,330,360 0.74 Europe SA 12 1,000,000 Michelin Luxembourg 2.750% 20.06.2019 1,053,370 0.23 SCS 12 3,000,000 GBP UniCredit 8.593% 31.12.2099 3,888,885 0.86 International Bank Luxembourg SA 08 FRN Total - Luxembourg 16,380,065 3.62 Netherlands 7,000,000 ABN AMRO Bank NV 7.125% 06.07.2022 8,751,120 1.93 12 900,000 Enel Finance 5.750% 24.10.2018 1,056,582 0.23 International NV 11 3,000,000 Enel Finance 4.875% 11.03.2020 3,441,510 0.76 International NV 12 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 33 1,400,000 Gas Natural Fenosa 3.875% 17.01.2023 1,531,194 0.34 Finance BV 13 1,000,000 Gas Natural Fenosa 3.500% 15.04.2021 1,074,880 0.24 Finance BV 13 1,000,000 Gas Natural Fenosa 2.875% 11.03.2024 999,230 0.22 Finance BV 14 4,500,000 HeidelbergCement 7.500% 03.04.2020 5,587,920 1.24 Finance Luxembourg SA 10 500,000 HeidelbergCement 9.500% 15.12.2018 652,680 0.14 Finance Luxembourg SA 11 3,000,000 HIT Finance BV 11 5.750% 09.03.2018 3,472,050 0.77 2,400,000 Koninklijke KPN NV 7.500% 04.02.2019 3,018,600 0.67 09 1,700,000 Koninklijke KPN NV 4.500% 04.10.2021 1,890,315 0.42 11 2,000,000 Linde Finance BV 06 7.375% 14.07.2066 2,262,660 0.50 FRN 3,800,000 Repsol International 4.875% 19.02.2019 4,339,144 0.96 Finance BV 12 1,800,000 Repsol International 4.375% 20.02.2018 1,995,912 0.44 Finance BV 12 2,000,000 SABIC Capital I BV 13 2.750% 20.11.2020 2,046,520 0.45 4,000,000 Volkswagen 3.875% 31.12.2099 4,181,600 0.92 International Finance NV 13 FRN Total - Netherlands 46,301,917 10.24 Slovakia 2,500,000 SPP Infrastructure 3.750% 18.07.2020 2,638,325 0.58 financing BV 13 Total - Slovakia 2,638,325 0.58 Spain 4,000,000 Bankia SA 06 4.125% 24.03.2036 3,875,920 0.86 3,000,000 CaixaBank SA 13 2.500% 18.04.2017 3,083,820 0.68 3,000,000 CaixaBank SA 13 3.250% 22.01.2016 3,114,570 0.69 600,000 Gas Natural Capital 3.375% 27.01.2015 614,100 0.14 s SA 10 3,000,000 Gas Natural Capital 5.000% 13.02.2018 3,409,560 0.75 s SA 12 1,500,000 Santander 3.500% 12.08.2014 1,518,870 0.34 International Debt SAU 10 2,000,000 Santander 4.625% 21.03.2016 2,138,020 0.47 International Debt SAU 12 9,000,000 Spain Government 4.200% 31.01.2037 8,918,370 1.97 Bond 05 3,500,000 Telefonica Emisiones 4.797% 21.02.2018 3,917,340 0.87 SAU 12 4,000,000 Telefonica Emisiones 3.987% 23.01.2023 4,285,160 0.95 SAU 13 Total - Spain 34,875,730 7.71 Sweden 1,500,000 Volvo Treasury AB 12 2.375% 26.11.2019 1,532,985 0.34 Total - Sweden 1,532,985 0.34 Switzerland 1,350,000 CHF Swiss Life Holding AG 0.000% 02.12.2020 1,246,777 0.28 13
Vontobel Fund - Corporate Bond Mid Yield Portfolio as at February 28, 2014 4,000,000 Credit Suisse AG 13 5.750% 18.09.2025 4,382,200 0.97 FRN 2,000,000 Credit Suisse Group 7.500% 31.12.2099 1,594,092 0.35 AG 13 FRN Total - Switzerland 7,223,069 1.60 United Kingdom 2,000,000 Abbey National 1.750% 15.01.2018 2,029,480 0.45 Treasury Services PLC/London 13 300,000 Anglo American 5.875% 17.04.2015 316,776 0.07 Capital PLC 08 3,500,000 Barclays Bank PLC 11 6.625% 30.03.2022 4,279,450 0.95 3,000,000 BAT International 2.750% 25.03.2025 3,014,010 0.67 Finance PLC 13 3,500,000 BG Energy Capital 6.500% 30.11.2072 3,923,920 0.87 PLC 12 FRN 800,000 FCE Bank PLC 11 4.750% 19.01.2015 827,680 0.18 1,000,000 FCE Bank PLC 12 2.875% 03.10.2017 1,049,800 0.23 2,000,000 FCE Bank PLC 13 1.750% 21.05.2018 2,010,160 0.44 1,500,000 FCE Bank PLC 13 1.875% 12.05.2016 1,525,455 0.34 2,500,000 Hammerson PLC 12 2.750% 26.09.2019 2,606,225 0.58 1,950,000 Imperial Tobacco 8.375% 17.02.2016 2,228,675 0.49 Finance PLC 09 1,900,000 Imperial Tobacco 4.500% 05.07.2018 2,129,026 0.47 Finance PLC 11 4,000,000 Legal & General 4.000% 08.06.2025 4,121,040 0.91 Group PLC 05 FRN 3,500,000 Lloyds Bank PLC 11 11.875% 16.12.2021 4,406,290 0.97 FRN 3,000,000 Lloyds Bank PLC 13 1.875% 10.10.2018 3,063,450 0.68 4,000,000 Nationwide Building 6.750% 22.07.2020 4,812,640 1.06 Society 10 3,000,000 Rentokil Initial PLC 13 3.250% 07.10.2021 3,096,990 0.68 3,500,000 Royal Bank of 5.375% 30.09.2019 4,114,040 0.91 Scotland PLC/The 09 500,000 Royal Bank of 4.000% 15.03.2016 535,435 0.12 Scotland PLC/The 11 750,000 SABMiller PLC 09 4.500% 20.01.2015 776,033 0.17 500,000 GBP Abbey National 5.500% 18.06.2014 614,737 0.14 Treasury Services PLC/London 09 2,500,000 GBP GKN Holdings PLC 99 6.750% 28.10.2019 3,540,713 0.78 2,500,000 GBP Jaguar Land Rover 5.000% 15.02.2022 3,094,192 0.68 Automotive PLC 14 2,500,000 GBP Scottish Widows PLC 5.125% 31.12.2099 3,063,403 0.68 05 FRN 4,000,000 Barclays Bank PLC 12 7.625% 21.11.2022 3,211,816 0.71 Total - United Kingdom 64,391,436 14.23 United States 3,500,000 Bank of America Corp 4.625% 07.08.2017 3,895,955 0.86 10 1,000,000 Bank of America Corp 1.875% 10.01.2019 1,011,970 0.22 13 2,500,000 DZ Bank Capital 2.791% 31.12.2099 2,306,250 0.51 Funding Trust I 03 FRN 1,500,000 Goldman Sachs 3.250% 01.02.2023 1,552,230 0.34 Group Inc/The 13 3,000,000 JPMorgan Chase 4.375% 30.11.2021 3,174,360 0.70 Bank NA 06 FRN 3,100,000 Morgan Stanley 06 4.375% 12.10.2016 3,356,618 0.74 2,500,000 National Grid North 1.750% 20.02.2018 2,542,275 0.56 America Inc 13 2,000,000 Verizon 2.375% 17.02.2022 2,012,980 0.44 Communications Inc 14 6,000,000 UBS AG/Stamford CT 7.625% 17.08.2022 5,134,417 1.14 12 Total - United States 24,987,055 5.52 Total - Bonds 408,781,581 90.36 Investment funds Luxembourg 179,330 Vontobel Fund - Global Convertible Bond 24,951,976 5.52 Total - Luxembourg 24,951,976 5.52 Total - Investment funds Total - Transferable securities admitted to an official exchange 24,951,976 5.52 433,733,557 95.88 Transferable securities and money market instruments dealt in on another regulated market Bonds United States 1,000,000 Intel Corp 06 2.950% 15.12.2035 817,905 0.18 Total - United States 817,905 0.18 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 817,905 817,905 0.18 0.18 434,551,462 96.06 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 34
Vontobel Fund - High Yield Bond Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 210,957,234 216,733,162 Cash at banks 15,658,838 Receivable from foreign currencies 516 Receivable from subscriptions 727,838 Interest and dividends receivable 3,724,751 Receivable for investments sold Total Assets 3,638,965 240,484,070 Liabilities Payable for redemptions 103,326 Payable for investments purchased 8,211,508 Payable on foreign currencies 516 (9) Unrealised loss on forward foreign exchange contracts 374,290 Audit fees, printing and publishing expenses 4,788 (5) Service Fee payable 31,203 (4) Subscription Tax payable 17,061 (3) Management Fee payable 180,663 (3) Performance Fee payable 435 Other liabilities 3,980 Total Liabilities 8,927,770 Total net assets at the end of the period 231,556,300 Net assets at the beginning of the period 191,895,495 Net investment income 5,519,791 Change in unrealised appreciation/depreciation on: Investments 5,761,484 Forward foreign exchange contracts -2,159,663 Net realised gain/loss on investments 101,962 Net realised gain/loss on forward foreign exchange contracts 4,554,275 Net realised gain/loss on currency exchange 398,189 Net realised gain/loss on swaps -105,211 Net realised gain/loss on options -11 Increase/Decrease in net assets resulting from operations 14,070,816 Subscriptions of shares 47,170,032 Redemptions of shares -21,552,857 (11) Dividend distribution -27,186 Total net assets at the end of the period 231,556,300 Income Net interest on bonds 6,769,939 Interest on Swaps 244,051 Net dividends 50,577 Other income 149 Total income 7,064,716 (3) Expenses Management Fees 1,104,392 (3) Performance Fee 463 Audit fees, printing and publishing expenses 10,382 (4) Subscription tax 50,527 Bank interest 832 Interest on Contracts for Difference 76,099 (5) Service Fees 293,194 (8) Other Fees payable 9,036 Total Expenses 1,544,925 Net investment income 5,519,791 35
Vontobel Fund - High Yield Bond Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Australia 460,000 FMG Resources 7.000% 01.11.2015 345,079 0.15 August 2006 Pty Ltd 10 Total - Australia 345,079 0.15 Belgium 1,000,000 Barry Callebaut 5.500% 15.06.2023 747,095 0.32 Services NV 13 Total - Belgium 747,095 0.32 Bermuda Islands 4,000,000 North Atlantic Drilling 6.250% 01.02.2019 2,881,657 1.24 Ltd 14 1,000,000 Pacnet Ltd 13 9.000% 12.12.2018 764,522 0.33 Total - Bermuda Islands 3,646,179 1.57 Cayman Islands 1,680,000 Viridian Group 11.125% 01.04.2017 1,871,436 0.81 FundCo II Ltd 12 Total - Cayman Islands 1,871,436 0.81 Croatia 1,350,000 Agrokor dd 12 9.875% 01.05.2019 1,534,356 0.66 2,100,000 Agrokor dd 12 9.125% 01.02.2020 2,391,690 1.03 1,000,000 Agrokor dd 12 8.875% 01.02.2020 787,655 0.34 Total - Croatia 4,713,701 2.04 France 1,500,000 AXA SA 06 FRN 5.777% 31.12.2099 1,591,335 0.69 1,500,000 Electricite de France 5.000% 31.12.2099 1,562,790 0.67 14 FRN 500,000 Kerneos Tech Group 5.750% 01.03.2021 515,400 0.22 SAS 14 1,300,000 La Financiere Atalian 7.250% 15.01.2020 1,397,162 0.60 SAS 13 1,000,000 GBP AXA SA 14 FRN 5.625% 16.01.2054 1,233,163 0.53 250,000 BPCE SA 14 5.150% 21.07.2024 181,693 0.08 Total - France 6,481,543 2.80 Germany 500,000 Deutsche 6.750% 30.12.2020 544,585 0.24 Raststaetten Gruppe IV GmbH 13 3,000,000 Unitymedia Hessen 5.750% 15.01.2023 3,254,940 1.41 GmbH & Co KG / Unitymedia NRW GmbH 12 300,000 WEPA 6.500% 15.05.2020 326,562 0.14 Hygieneprodukte GmbH 13 Total - Germany 4,126,087 1.78 Ireland 3,000,000 Ardagh Packaging 9.250% 15.10.2020 3,343,950 1.44 Finance PLC 10 1,000,000 Nara Cable Funding 8.875% 01.12.2018 1,088,770 0.47 Ltd 10 1,600,000 Rottapharm Ltd 12 6.125% 15.11.2019 1,697,312 0.73 2,000,000 Smurfit Kappa 4.125% 30.01.2020 2,123,340 0.92 Acquisitions 13 2,000,000 Vimpel 7.748% 02.02.2021 1,558,991 0.67 Communications Via VIP Finance Ireland Ltd OJSC 11 Total - Ireland 9,812,363 4.24 Israel 1,000,000 B Communications 7.375% 15.02.2021 763,270 0.33 Ltd 14 Total - Israel 763,270 0.33 Italy 2,000,000 Assicurazioni Generali 7.750% 12.12.2042 2,386,860 1.03 SpA 12 FRN 2,000,000 Assicurazioni Generali 10.125% 10.07.2042 2,672,600 1.15 SpA 12 FRN 2,000,000 Cerved Group SpA 13 8.000% 15.01.2021 2,170,080 0.94 1,300,000 Gtech Spa 06 FRN 8.250% 31.03.2066 1,421,576 0.61 1,000,000 Mediaset SpA 13 5.125% 24.01.2019 1,062,880 0.46 2,000,000 Telecom Italia SpA 14 4.500% 25.01.2021 2,068,980 0.89 1,500,000 GBP Enel SpA 14 FRN 6.625% 15.09.2076 1,869,092 0.81 Total - Italy 13,652,068 5.90 Jersey 1,000,000 UBS AG/Jersey 07 7.152% 31.12.2099 1,127,390 0.49 FRN 1,000,000 GBP Galaxy Finco Ltd 13 7.875% 15.11.2021 1,258,668 0.54 1,000,000 HBOS Capital 6.850% 31.12.2099 727,966 0.31 Funding LP 03 Total - Jersey 3,114,024 1.34 Luxembourg 2,000,000 Cirsa Funding 8.750% 15.05.2018 2,093,520 0.90 Luxembourg SA 10 500,000 Fiat Finance & Trade 6.750% 14.10.2019 562,650 0.24 SA 13 1,000,000 Findus Bondco SA 13 9.125% 01.07.2018 1,101,380 0.48 1,790,000 GCL Holdings SCA 11 9.375% 15.04.2018 1,935,008 0.84 1,000,000 GCS Holdco Finance I 6.500% 15.11.2018 1,067,860 0.46 SA 13 2,000,000 INEOS Group 6.500% 15.08.2018 2,118,420 0.91 Holdings SA 13 1,500,000 Intralot Finance 9.750% 15.02.2018 1,712,505 0.74 Luxembourg SA 13 2,300,000 Wind Acquisition 7.375% 15.02.2018 2,445,176 1.06 Finance SA 10 1,500,000 GBP Cabot Financial 10.375% 01.10.2019 2,089,283 0.90 Luxembourg SA 12 1,100,000 GBP Cabot Financial 8.375% 01.08.2020 1,454,247 0.63 Luxembourg SA 13 1,000,000 Altice Finco SA 13 8.125% 15.01.2024 765,912 0.33 3,500,000 Dufry Finance SCA 12 5.500% 15.10.2020 2,597,473 1.12 250,000 Wind Acquisition 6.500% 30.04.2020 199,562 0.09 Finance SA 13 Total - Luxembourg 20,142,996 8.70 Netherlands 500,000 Adria Bidco BV 13 7.875% 15.11.2020 520,610 0.22 * Any deviations of the percentages of the net assets are due to rounding. 36
Vontobel Fund - High Yield Bond Portfolio as at February 28, 2014 1,000,000 Cable 7.500% 01.11.2020 1,056,610 0.46 Communications Systems NV 13 5,105,000 Carlson Wagonlit BV 7.500% 15.06.2019 5,558,477 2.40 12 3,750,000 InterXion Holding NV 6.000% 15.07.2020 4,032,825 1.74 13 2,250,000 UPC Holding BV 10 8.375% 15.08.2020 2,495,070 1.08 1,000,000 UPC Holding BV 12 6.375% 15.09.2022 1,062,200 0.46 1,000,000 GBP Telefonica Europe BV 6.750% 31.12.2099 1,269,237 0.55 13 FRN 5,000,000 Bluewater Holding BV 10.000% 10.12.2019 3,669,949 1.58 13 3,000,000 EDP Finance BV 14 5.250% 14.01.2021 2,259,465 0.98 Total - Netherlands Poland 21,924,443 9.47 2,000,000 Ciech Group 9.500% 30.11.2019 2,326,600 1.00 Financing AB 12 Total - Poland Spain 2,000,000 Banco Bilbao Vizcaya 7.000% 31.12.2099 2,326,600 2,037,560 1.00 0.88 Argentaria SA 14 FRN 3,600,000 Obrascon Huarte Lain 7.625% 15.03.2020 4,032,900 1.74 SA 12 Total - Spain Sweden 2,000,000 Eileme 2 AB 12 11.750% 31.01.2020 6,070,460 2,423,340 2.62 1.05 Total - Sweden Switzerland 1,000,000 Credit Suisse Group 7.500% 31.12.2099 2,423,340 797,046 1.05 0.34 AG 13 FRN Total - Switzerland United Kingdom 797,046 0.34 1,000,000 Lloyds Bank PLC 11 11.875% 16.12.2021 1,258,940 0.54 FRN 1,000,000 Nationwide Building 6.750% 22.07.2020 1,203,160 0.52 Society 10 4,150,000 Rexam PLC 07 FRN 6.750% 29.06.2067 4,476,937 1.93 1,000,000 GBP 1st Credit Holdings 11.000% 10.06.2020 1,354,428 0.58 Ltd 13 5,000,000 GBP Jaguar Land Rover 5.000% 15.02.2022 6,188,384 2.67 Automotive PLC 14 500,000 GBP Odeon & UCI Finco 9.000% 01.08.2018 625,779 0.27 PLC 11 1,000,000 GBP Soho House Bond Ltd 9.125% 01.10.2018 1,213,980 0.52 13 2,000,000 GBP Travelex Financing 8.000% 01.08.2018 2,643,479 1.14 PLC 13 2,100,000 Ineos Finance PLC 12 8.375% 15.02.2019 1,683,923 0.73 Total - United Kingdom United States 20,649,009 8.92 4,000,000 Avis Budget Finance 6.000% 01.03.2021 4,277,840 1.85 Plc 13 1,500,000 Verizon 2.375% 17.02.2022 1,509,735 0.65 Communications Inc 14 1,250,000 Cinemark USA Inc 13 4.875% 01.06.2023 876,172 0.38 1,500,000 Crown Media 10.500% 15.07.2019 1,232,668 0.53 Holdings Inc 11 1,250,000 First Data Holdings 14.500% 24.09.2019 905,414 0.39 Inc 13 1,100,000 Goodyear Tire & 8.250% 15.08.2020 891,214 0.38 Rubber Co/The 10 1,000,000 Harland Clarke 9.250% 01.03.2021 731,275 0.32 Holdings Corp 14 600,000 IPALCO Enterprises 5.000% 01.05.2018 461,607 0.20 Inc 11 2,000,000 Silgan Holdings Inc 5.000% 01.04.2020 1,472,005 0.64 12 1,000,000 Sprint Capital Corp 8.750% 15.03.2032 813,873 0.35 02 2,000,000 Sprint 7.000% 01.03.2020 1,672,519 0.72 Communications Inc 12 2,000,000 UBS AG/Stamford CT 7.625% 17.08.2022 1,711,472 0.74 12 Total - United States 16,555,794 7.15 Total - Bonds 140,162,532 60.53 Investment funds Ireland 35,000 ishares O STOXX 50 UCITS ETF Inc 1,108,450 0.48 Total - Ireland 1,108,450 0.48 Total - Investment funds 1,108,450 0.48 Shares United States 110,000 Bank of America Corp 1,316,512 0.57 24,000 JPMorgan Chase & 987,351 0.43 Co 28,000 Wells Fargo & Co 941,071 0.41 Total - United States 3,244,934 1.40 Total - Shares Total - Transferable securities admitted to an official exchange 3,244,934 1.40 144,515,916 62.41 Transferable securities and money market instruments dealt in on another regulated market Bonds Canada 700,000 Valeant 6.875% 01.12.2018 539,134 0.23 Pharmaceuticals International 10 Total - Canada 539,134 0.23 Cayman Islands 1,000,000 Viridian Group 11.125% 01.04.2017 797,350 0.34 FundCo II Ltd 12 Total - Cayman Islands 797,350 0.34 * Any deviations of the percentages of the net assets are due to rounding. 37
Vontobel Fund - High Yield Bond Portfolio as at February 28, 2014 Ireland 176,471 Ardagh Packaging 7.000% 15.11.2020 129,048 0.06 Finance PLC / Ardagh Holdings USA Inc 13 1,600,000 Smurfit Kappa 4.875% 15.09.2018 1,219,274 0.53 Acquisitions 12 Total - Ireland 1,348,322 0.58 Luxembourg 2,000,000 GBP Findus Bondco SA 13 9.500% 01.07.2018 2,667,601 1.15 500,000 Dufry Finance SCA 12 5.500% 15.10.2020 371,068 0.16 1,000,000 Exopack Holdings SA 7.875% 01.11.2019 752,996 0.33 13 1,100,000 Intelsat Jackson 7.250% 01.04.2019 858,958 0.37 Holdings SA 12 750,000 Intelsat Luxembourg 7.750% 01.06.2021 584,431 0.25 SA 13 250,000 Intelsat Luxembourg 7.750% 01.06.2021 194,810 0.08 SA 13 Total - Luxembourg 5,429,864 2.34 Singapore 1,400,000 Oro Negro Drilling 7.500% 24.01.2019 1,020,926 0.44 Pte Ltd 14 Total - Singapore 1,020,926 0.44 United Kingdom 2,000,000 GBP EDU UK BondCo PLC 8.875% 15.09.2018 2,548,957 1.10 13 3,000,000 GBP New Look Bondco I 8.750% 07.05.2018 3,950,840 1.71 Plc 13 2,000,000 GBP Towergate Finance 10.500% 15.02.2019 2,549,151 1.10 PLC 11 Total - United Kingdom 9,048,948 3.91 United States 3,000,000 Rain CII Carbon LLC / 8.500% 15.01.2021 3,093,750 1.34 CII Carbon Corp 12 1,000,000 GBP Virgin Media Finance 7.000% 15.04.2023 1,283,421 0.55 PLC 13 800,000 AmeriGas Finance 6.750% 20.05.2020 633,466 0.27 LLC / AmeriGas Finance Corp 12 3,000,000 Avaya Inc 11 7.000% 01.04.2019 2,163,675 0.93 1,250,000 Axalta Coating 7.375% 01.05.2021 977,338 0.42 Systems US Holdings Inc / Axalta Coating Systems Dutch Holding B 13 1,000,000 Beazer Homes USA 9.125% 15.06.2018 770,322 0.33 Inc 10 2,000,000 Big Heart Pet Brands 7.625% 15.02.2019 1,512,073 0.65 11 2,000,000 Bon-Ton Department 8.000% 15.06.2021 1,379,908 0.60 Stores Inc/The 13 3,500,000 CCO Holdings LLC / 5.250% 30.09.2022 2,528,900 1.09 CCO Holdings Capital Corp 12 1,850,000 Cinemark USA Inc 11 7.375% 15.06.2021 1,477,348 0.64 1,050,000 Concho Resources Inc 7.000% 15.01.2021 844,911 0.36 10 930,160 Delta Air Lines 2012-6.875% 07.05.2019 735,763 0.32 1 Class B Pass Through Trust 12 2,000,000 Denbury Resources 6.375% 15.08.2021 1,562,452 0.67 Inc 11 * Any deviations of the percentages of the net assets are due to rounding. 3,255,000 EXCO Resources Inc 7.500% 15.09.2018 2,377,330 1.03 10 2,000,000 Felcor Lodging LP 11 6.750% 01.06.2019 1,568,099 0.68 1,100,000 First Data Corp 11 7.375% 15.06.2019 863,139 0.37 1,000,000 Freescale 10.750% 01.08.2020 840,893 0.36 Semiconductor Inc 11 4,000,000 Frontier 8.750% 15.04.2022 3,313,268 1.43 Communications Corp 10 2,000,000 Goodyear Tire & 6.500% 01.03.2021 1,588,140 0.69 Rubber Co/The 13 1,000,000 Hexion US Finance 9.000% 15.11.2020 737,682 0.32 Corp / Hexion Nova Scotia Finance ULC 11 2,250,000 Hexion US Finance 6.625% 15.04.2020 1,693,507 0.73 Corp 12 3,000,000 Kindred Healthcare 8.250% 01.06.2019 2,343,873 1.01 Inc 11 2,000,000 McGraw-Hill Global 9.750% 01.04.2021 1,603,736 0.69 Education Holdings LLC / McGraw-Hill Global Education Finance 13 600,000 Newfield Exploration 6.875% 01.02.2020 467,419 0.20 Co 10 3,000,000 PF Chang's China 10.250% 30.06.2020 2,340,441 1.01 Bistro Inc 12 2,000,000 Regal Entertainment 5.750% 15.03.2022 1,480,650 0.64 Group 14 2,000,000 Sabine Pass 5.875% 01.02.2021 1,484,270 0.64 Liquefaction LLC 13 500,000 SESI LLC 11 6.375% 01.05.2019 387,612 0.17 2,000,000 Toys R Us Property 8.500% 01.12.2017 1,489,672 0.64 Co II LLC 10 3,000,000 TPC Group Inc 12 8.750% 15.12.2020 2,345,871 1.01 2,000,000 Valeant 7.000% 01.10.2020 1,580,205 0.68 Pharmaceuticals International 10 4,500,000 WideOpenWest 10.250% 15.07.2019 3,730,587 1.61 Finance LLC / WideOpenWest Capital Corp 13 1,000,000 William Carter 5.250% 15.08.2021 742,135 0.32 Co/The 13 Total - United States 51,941,858 22.43 Virgin Islands 3,000,000 Sea Trucks Group 13 9.000% 26.03.2018 2,090,845 0.90 Total - Virgin Islands 2,090,845 0.90 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 72,217,246 31.19 72,217,246 31.19 216,733,162 93.60 38
Vontobel Fund - US Dollar Bond Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 93,788,897 93,062,204 Cash at banks 2,556,131 Receivable from subscriptions 26,689 Interest and dividends receivable 605,873 Total Assets 96,250,897 Liabilities Payable for redemptions 101,748 Audit fees, printing and publishing expenses 2,240 (5) Service Fee payable 13,245 (4) Subscription Tax payable 5,302 (3) Management Fee payable 50,288 Other liabilities 8,615 Total Liabilities 181,438 Total net assets at the end of the period 96,069,459 Net assets at the beginning of the period 101,929,229 Net investment income 1,087,600 Change in unrealised appreciation/depreciation on: Investments 765,654 Futures -9,062 Net realised gain/loss on investments -50,487 Net realised gain/loss on currency exchange -7 Net realised gain/loss on futures 98,406 Increase/Decrease in net assets resulting from operations 1,892,104 Subscriptions of shares 5,027,823 Redemptions of shares -12,228,701 (11) Dividend distribution -550,996 Total net assets at the end of the period 96,069,459 Income Net interest on bonds 1,545,117 Other income 65 Total income 1,545,182 (3) Expenses Management Fees 335,636 Audit fees, printing and publishing expenses 5,313 (4) Subscription tax 16,516 (5) Service Fees 91,063 (8) Other Fees payable 9,054 Total Expenses 457,582 Net investment income 1,087,600 39
Vontobel Fund - US Dollar Bond Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Canada 1,000,000 Bank of Montreal 11 2.625% 25.01.2016 1,039,280 1.08 1,500,000 Canadian Imperial 2.750% 27.01.2016 1,562,955 1.63 Bank of Commerce/Canada 11 1,350,000 CCDJ Quebec 11 2.550% 24.03.2016 1,403,865 1.46 750,000 Province of British 2.100% 18.05.2016 776,378 0.81 Columbia 11 775,000 Province of New 2.750% 15.06.2018 813,122 0.85 Brunswick Canada 11 3,050,000 Province of Ontario 3.150% 15.12.2017 3,258,620 3.39 Canada 10 500,000 Royal Bank of Canada 3.125% 14.04.2015 515,400 0.54 10 Total - Canada 9,369,620 9.75 Cayman Islands 300,000 Amber Circle Funding 2.000% 04.12.2017 298,002 0.31 Ltd 12 200,000 Amber Circle Funding 3.250% 04.12.2022 184,648 0.19 Ltd 12 Total - Cayman Islands 482,650 0.50 Chile 500,000 Chile Government 2.250% 30.10.2022 461,515 0.48 International Bond 12 1,000,000 Corp Nacional del 3.000% 17.07.2022 939,030 0.98 Cobre de Chile 12 500,000 Empresa de 4.750% 04.02.2024 514,655 0.54 Transporte de Pasajeros Metro SA 14 Total - Chile 1,915,200 1.99 Curaçao 500,000 Teva Pharmaceutical 2.950% 18.12.2022 467,565 0.49 Finance Co BV 12 Total - Curaçao 467,565 0.49 Czech Republic 1,000,000 CEZ AS 12 4.250% 03.04.2022 1,024,070 1.07 Total - Czech Republic 1,024,070 1.07 France 300,000 Cie de Financement 2.250% 07.03.2014 300,039 0.31 Foncier SA 11 500,000 Total Capital 2.125% 10.01.2019 505,760 0.53 International SA 14 Total - France 805,799 0.84 Germany 600,000 Linde AG 13 1.500% 18.04.2018 595,380 0.62 Total - Germany 595,380 0.62 Guernsey 1,800,000 Credit Suisse 1.625% 06.03.2015 1,822,050 1.90 AG/Guernsey 12 Total - Guernsey 1,822,050 1.90 Israel 1,000,000 Israel Government 5.125% 26.03.2019 1,134,800 1.18 International Bond 09 Total - Israel 1,134,800 1.18 Italy 2,100,000 Italy Government 5.375% 12.06.2017 2,314,389 2.41 International Bond 07 1,500,000 Italy Government 6.875% 27.09.2023 1,816,530 1.89 International Bond 93 Total - Italy 4,130,919 4.30 Japan 1,500,000 Japan Bank for 2.500% 21.01.2016 1,556,055 1.62 International Cooperation/Japan 11 1,000,000 Nippon Telegraph & 2.150% 26.02.2020 990,820 1.03 Telephone Corp 13 Total - Japan 2,546,875 2.65 Korea, Republic Of 500,000 Export-Import Bank 4.000% 11.01.2017 538,965 0.56 of Korea 12 500,000 Korea South-East 3.625% 29.01.2017 527,135 0.55 Power Co Ltd 11 Total - Korea, Republic Of 1,066,100 1.11 Latvia 200,000 Republic of Latvia 12 5.250% 22.02.2017 219,700 0.23 Total - Latvia 219,700 0.23 Mexico 500,000 Comision Federal de 4.875% 15.01.2024 508,485 0.53 Electricidad 13 Total - Mexico 508,485 0.53 Netherlands 1,000,000 Bank Nederlandse 0.407% 18.07.2016 1,001,770 1.04 Gemeenten 13 FRN 1,000,000 Lukoil International 6.375% 05.11.2014 1,037,050 1.08 Finance BV 09 325,000 Shell International 3.250% 22.09.2015 339,102 0.35 Finance BV 09 Total - Netherlands 2,377,922 2.48 Norway 500,000 DNB Boligkreditt AS 1.450% 21.03.2019 496,320 0.52 13 1,000,000 Statoil ASA 13 1.950% 08.11.2018 1,007,380 1.05 250,000 Telenor ASA 13 1.750% 22.05.2018 248,535 0.26 Total - Norway 1,752,235 1.82 Philippines 2,250,000 Asian Development 6.640% 27.05.2014 2,283,098 2.38 Bank 99 Total - Philippines 2,283,098 2.38 * Any deviations of the percentages of the net assets are due to rounding. 40
Vontobel Fund - US Dollar Bond Portfolio as at February 28, 2014 Poland 2,000,000 Poland Government 6.375% 15.07.2019 2,385,840 2.48 International Bond 09 975,000 Poland Government 3.875% 16.07.2015 1,019,792 1.06 International Bond 10 1,000,000 Poland Government 5.125% 21.04.2021 1,115,990 1.16 International Bond 11 Total - Poland 4,521,622 4.71 Russia 200,000 Russian Foreign Bond 3.250% 04.04.2017 209,976 0.22 - Eurobond 12 Total - Russia 209,976 0.22 Singapore 500,000 Temasek Financial I 4.500% 21.09.2015 530,545 0.55 Ltd 05 Total - Singapore 530,545 0.55 Turkey 500,000 Turkiye Is Bankasi 12 3.875% 07.11.2017 486,165 0.51 Total - Turkey 486,165 0.51 United Kingdom 1,800,000 UBS AG/London 12 2.250% 30.03.2017 1,863,414 1.94 Total - United Kingdom 1,863,414 1.94 United States 300,000 American Honda 1.000% 11.08.2015 302,262 0.31 Finance Corp 12 500,000 Apple Inc 13 2.400% 03.05.2023 463,170 0.48 750,000 Bank of America Corp 4.500% 01.04.2015 780,675 0.81 10 250,000 Citigroup Inc 13 1.300% 01.04.2016 251,575 0.26 1,000,000 Dexia Credit Local 2.250% 30.01.2019 1,002,790 1.04 SA/New York NY 14 250,000 General Electric 1.000% 08.01.2016 252,205 0.26 Capital Corp 13 250,000 General Electric Co 12 2.700% 09.10.2022 241,878 0.25 350,000 Google Inc 14 3.375% 25.02.2024 352,912 0.37 500,000 Hyundai Capital 1.450% 06.02.2017 500,900 0.52 America 14 400,000 Italy Government 0.000% 27.09.2017 366,923 0.38 International Bond Coupon Strip 93 2,000,000 Nestle Holdings Inc 2.125% 12.03.2014 2,000,720 2.08 10 425,000 Nestle Holdings Inc 2.250% 12.03.2019 432,038 0.45 13 750,000 Nestle Holdings Inc 2.000% 11.12.2019 750,713 0.78 13 1,500,000 Novartis Capital Corp 2.900% 24.04.2015 1,544,340 1.61 10 900,000 Praxair Inc 09 4.500% 15.08.2019 1,009,512 1.05 500,000 United States 5.375% 15.02.2031 641,289 0.67 Treasury Note/Bond 01 800,000 United States 4.500% 15.02.2036 938,875 0.98 Treasury Note/Bond 06 900,000 United States 4.375% 15.02.2038 1,036,688 1.08 Treasury Note/Bond 08 4,000,000 United States 7.250% 15.05.2016 4,601,406 4.79 Treasury Note/Bond 86 3,275,000 United States 8.875% 15.08.2017 4,164,495 4.33 Treasury Note/Bond 87 4,000,000 United States 8.125% 15.08.2019 5,366,250 5.59 Treasury Note/Bond 89 2,000,000 United States 6.000% 15.02.2026 2,642,813 2.75 Treasury Note/Bond 96 1,700,000 United States 5.250% 15.02.2029 2,134,164 2.22 Treasury Note/Bond 99 300,000 Wal-Mart Stores Inc 2.875% 01.04.2015 308,490 0.32 10 Total - United States 32,087,081 33.40 Total - Bonds Total - Transferable securities admitted to an official exchange 72,201,270 75.16 72,201,270 75.16 Transferable securities and money market instruments dealt in on another regulated market Bonds Canada 1,000,000 Bank of Nova Scotia 2.150% 03.08.2016 1,034,250 1.08 11 1,000,000 Province of Manitoba 1.750% 30.05.2019 994,550 1.04 Canada 12 Total - Canada 2,028,800 2.11 Korea, Republic Of 500,000 Korea National Oil 4.000% 27.10.2016 535,050 0.56 Corp 11 Total - Korea, Republic Of 535,050 0.56 Turkey 625,000 Akbank TAS 12 3.875% 24.10.2017 616,863 0.64 Total - Turkey 616,863 0.64 United States 250,000 American Honda 0.740% 07.10.2016 251,873 0.26 Finance Corp 13 FRN 300,000 Daimler Finance 1.875% 15.09.2014 302,241 0.31 North America LLC 11 250,000 Dr Pepper Snapple 2.000% 15.01.2020 241,413 0.25 Group Inc 12 250,000 Eli Lilly & Co 14 1.950% 15.03.2019 250,768 0.26 250,000 Freeport-McMoRan 3.875% 15.03.2023 242,855 0.25 Copper & Gold Inc 13 500,000 Procter & Gamble 0.317% 04.11.2016 500,300 0.52 Co/The 13 FRN 1,072,460 United States 1.250% 15.07.2020 1,170,264 1.22 Treasury Inflation Indexed Bonds 10 5,827,855 United States 0.125% 15.04.2016 6,009,064 6.25 Treasury Inflation Indexed Bonds 11 5,166,850 United States Treasury Inflation Indexed Bonds 12 0.125% 15.01.2022 5,112,151 5.32 * Any deviations of the percentages of the net assets are due to rounding. 41
Vontobel Fund - US Dollar Bond Portfolio as at February 28, 2014 2,059,500 United States 0.125% 15.04.2017 2,131,800 2.22 Treasury Inflation Indexed Bonds 12 1,013,280 United States 0.125% 15.01.2023 988,392 1.03 Treasury Inflation Indexed Bonds 13 500,000 United States 2.000% 15.02.2023 479,102 0.50 Treasury Note/Bond 13 Total - United States 17,680,221 18.40 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 20,860,934 21.71 20,860,934 21.71 93,062,204 96.87 * Any deviations of the percentages of the net assets are due to rounding. 42
Vontobel Fund - Eastern European Bond Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 250,700,940 213,028,770 Cash at banks Receivable from foreign currencies Receivable from subscriptions 7,206,982 4,848,841 372,565 Interest and dividends receivable 5,016,757 (9) Unrealised gain on forward foreign exchange contracts Total Assets 827,196 231,301,111 Liabilities Payable for redemptions 1,299,386 Payable on foreign currencies 4,852,899 Interest and dividends payable 1,129,288 (9) Unrealised loss on futures 17,818 Audit fees, printing and publishing expenses 6,337 (5) Service Fee payable 31,848 (4) Subscription Tax payable 16,824 (3) Management Fee payable 230,366 Other liabilities 11,429 Total Liabilities 7,596,195 Total net assets at the end of the period 223,704,916 Net assets at the beginning of the period 263,401,323 Net investment income 6,548,288 Change in unrealised appreciation/depreciation on: Investments -7,567,320 Futures -17,818 Forward foreign exchange contracts 749,798 Net realised gain/loss on investments -5,964,865 Net realised gain/loss on forward foreign exchange contracts 1,132,158 Net realised gain/loss on currency exchange -167,387 Net realised gain/loss on futures -114,040 Increase/Decrease in net assets resulting from operations -5,401,186 Subscriptions of shares 33,489,658 Redemptions of shares -58,829,789 (11) Dividend distribution -8,955,090 Total net assets at the end of the period 223,704,916 Income Bank interest 5,482 Net interest on bonds 7,564,123 Other income 1,037,884 Total income 8,607,489 (3) Expenses Management Fees 1,685,394 Audit fees, printing and publishing expenses 15,240 (4) Subscription tax 57,252 Bank interest 5,414 (5) Service Fees 242,346 (8) Other Fees payable 53,555 Total Expenses 2,059,201 Net investment income 6,548,288 43
Vontobel Fund - Eastern European Bond Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Croatia 750,000 Croatia Government 6.625% 14.07.2020 597,165 0.27 International Bond 10 Total - Croatia 597,165 0.27 Germany 14,117,000 PLN Landesbank Hessen- 11.000% 11.07.2016 3,902,800 1.74 Thueringen Girozentrale 01 Total - Germany 3,902,800 1.74 Ireland 100,000,000 RUB AHML Finance Ltd 13 7.750% 13.02.2018 1,928,075 0.86 50,000,000 RUB Caterpillar 7.500% 20.12.2015 998,117 0.45 International Finance Ltd 12 50,000,000 RUB Federal Grid Co OJS 8.446% 13.03.2019 983,651 0.44 via Federal Grid Finance Ltd 12 50,000,000 RUB Gazprombank OJSC 7.875% 25.07.2016 987,358 0.44 Via GPB Eurobond Finance PLC 13 50,000,000 RUB Novatek OAO via 7.750% 21.02.2017 987,872 0.44 Novatek Finance Ltd 13 50,000,000 RUB RusHydro JSC via 7.875% 28.10.2015 1,000,888 0.45 RusHydro Finance Ltd 10 500,000 SCF Capital Ltd 10 5.375% 27.10.2017 360,439 0.16 1,000,000 Vnesheconombank 4.224% 21.11.2018 722,398 0.32 Via VEB Finance PLC 13 Total - Ireland 7,968,798 3.56 Kazakhstan 100,000,000 RUB Eurasian 8.000% 05.10.2017 1,973,387 0.88 Development Bank 12 Total - Kazakhstan 1,973,387 0.88 Latvia 750,000 Republic of Latvia 12 2.750% 12.01.2020 529,923 0.24 Total - Latvia 529,923 0.24 Luxembourg 100,000,000 RUB European Investment 5.450% 29.12.2014 1,989,525 0.89 Bank 10 50,000,000 RUB Sberbank of Russia 7.000% 31.01.2016 986,945 0.44 Via SB Capital SA 13 3,000,000 TRY Sberbank of Russia 7.400% 04.03.2018 820,255 0.37 Via SB Capital SA 13 750,000 MOL Group Finance 6.250% 26.09.2019 572,762 0.26 SA 12 1,000,000 Sberbank of Russia 6.125% 07.02.2022 764,761 0.34 Via SB Capital SA 12 Total - Luxembourg 5,134,249 2.30 * Any deviations of the percentages of the net assets are due to rounding. Netherlands 50,000,000 RUB VimpelCom Holdings 9.000% 13.02.2018 991,156 0.44 BV 13 Total - Netherlands Poland 991,156 0.44 34,000,000 PLN Poland Government 5.750% 23.09.2022 8,970,901 4.01 Bond 02 17,982,440 PLN Poland Government 3.000% 24.08.2016 4,497,507 2.01 Bond 04 18,500,000 PLN Poland Government 5.500% 25.10.2019 4,791,204 2.14 Bond 08 17,424,900 PLN Poland Government 2.750% 25.08.2023 4,345,116 1.94 Bond 08 42,250,000 PLN Poland Government 5.250% 25.10.2020 10,812,237 4.83 Bond 10 28,500,000 PLN Poland Government 4.750% 25.10.2016 7,096,232 3.17 Bond 11 44,000,000 PLN Poland Government 5.750% 25.10.2021 11,583,666 5.18 Bond 11 8,500,000 PLN Poland Government 4.000% 25.10.2023 1,977,809 0.88 Bond 12 27,500,000 PLN Poland Government 3.750% 25.04.2018 6,628,389 2.96 Bond 12 59,500,000 PLN Poland Government 4.750% 25.04.2017 14,840,186 6.63 Bond 12 750,000 Poland Government 6.375% 15.07.2019 647,786 0.29 International Bond 09 Total - Poland 76,191,034 34.06 Romania 13,000,000 RON Romania Government 5.750% 27.01.2016 2,985,637 1.33 Bond 12 19,000,000 RON Romania Government 5.750% 29.04.2020 4,362,696 1.95 Bond 13 Total - Romania Russia 264,000,000 RUB Russian Federal Bond 8.150% 03.02.2027 7,348,333 5,296,122 3.28 2.37 - OFZ 12 200,000,000 RUB Russian Federal Bond 7.600% 20.07.2022 3,919,695 1.75 - OFZ 12 100,000,000 RUB Russian Federal Bond 7.050% 19.01.2028 1,804,892 0.81 - OFZ 13 60,000,000 RUB Russian Foreign Bond 7.850% 10.03.2018 1,210,168 0.54 - Eurobond 11 Total - Russia Serbia 40,000,000 RSD SERBIA 12 10.000% 26.01.2017 12,230,877 340,577 5.47 0.15 100,000,000 RSD SERBIA 13 10.000% 07.03.2020 787,875 0.35 600,000,000 RSD SERBIA 13 10.000% 25.04.2016 5,213,430 2.33 116,430,000 RSD SERBIA 13 10.000% 21.03.2015 1,014,166 0.45 Total - Serbia Turkey 2,000,000 TRY Mercedes-Benz 10.030% 10.07.2015 7,356,048 636,246 3.29 0.28 Finansman Turk AS 13 7,924,080 TRY Turkey Government 4.000% 29.04.2015 2,580,676 1.15 Bond 10 11,000,000 TRY Turkey Government 10.500% 15.01.2020 3,640,483 1.63 Bond 10 9,488,356 TRY Turkey Government Bond 11 3.000% 21.07.2021 2,963,881 1.32 44
Vontobel Fund - Eastern European Bond Portfolio as at February 28, 2014 7,750,000 TRY Turkey Government 9.000% 05.03.2014 2,544,582 1.14 Bond 12 11,337,830 TRY Turkey Government 2.000% 26.10.2022 3,248,188 1.45 Bond 12 12,000,000 TRY Turkey Government 9.500% 12.01.2022 3,806,209 1.70 Bond 12 15,089,958 TRY Turkey Government 3.000% 23.02.2022 4,695,868 2.10 Bond 12 21,000,000 TRY Turkey Government 9.000% 08.03.2017 6,612,054 2.96 Bond 12 5,600,000 TRY Turkey Government 8.500% 14.09.2022 1,668,790 0.75 Bond 12 2,500,000 TRY Turkey Government 7.100% 08.03.2023 675,880 0.30 Bond 13 4,281,664 TRY Turkey Government 1.000% 03.05.2023 1,110,019 0.50 Bond 13 10,000,000 TRY Turkey Government 6.300% 14.02.2018 2,845,051 1.27 Bond 13 5,000,000 TRY Turkey Government 5.000% 13.05.2015 1,536,150 0.69 Bond 13 1,000,000 TRY Turkiye Garanti 7.375% 07.03.2018 273,015 0.12 Bankasi AS 13 200,000 Export Credit Bank of 5.875% 24.04.2019 148,948 0.07 Turkey 12 2,750,000 Turkey Government 7.500% 14.07.2017 2,249,996 1.01 International Bond 09 500,000 Turkiye Is Bankasi 12 3.875% 07.11.2017 352,000 0.16 Total - Turkey 41,588,036 18.59 Total - Bonds Total - Transferable securities admitted to an official exchange 165,811,805 74.12 165,811,805 74.12 Transferable securities and money market instruments dealt in on another regulated market Bonds Finland 640,000 TRY Municipality Finance 13.800% 29.05.2015 214,333 0.10 PLC 08 Total - Finland 214,333 0.10 Germany 300,000 TRY Landwirtschaftliche 13.000% 27.03.2015 99,534 0.04 Rentenbank 08 Total - Germany 99,534 0.04 Korea, Republic Of 57,100,000 RUB Export-Import Bank 7.630% 30.05.2017 1,075,874 0.48 of Korea 12 Total - Korea, Republic Of 1,075,874 0.48 20,000,000 RUB MegaFon Finans 8.050% 29.09.2022 393,817 0.18 OOO 12 FRN 10,000,000 RUB NOVATEK OAO 12 8.350% 12.10.2015 203,492 0.09 30,000,000 RUB Novolipetsk Steel 8.950% 11.11.2014 609,267 0.27 OJSC 11 10,000,000 RUB Rosbank 12 FRN 9.300% 12.09.2015 203,290 0.09 144,750,000 RUB Russian Federal Bond 7.500% 15.03.2018 2,910,810 1.30 - OFZ 11 152,500,000 RUB Russian Federal Bond 7.400% 14.06.2017 3,067,056 1.37 - OFZ 11 307,500,000 RUB Russian Federal Bond 7.600% 14.04.2021 6,065,996 2.71 - OFZ 11 155,000,000 RUB Russian Federal Bond 7.350% 20.01.2016 3,152,780 1.41 - OFZ 11 46,000,000 RUB Russian Federal Bond 7.400% 19.04.2017 926,748 0.41 - OFZ 12 345,000,000 RUB Russian Federal Bond 7.000% 25.01.2023 6,478,292 2.90 - OFZ 13 50,000,000 RUB Russian Railways JSC 15.000% 06.03.2014 1,007,385 0.45 09 50,000,000 RUB Russian Railways JSC 7.850% 07.04.2015 1,012,422 0.45 09 FRN 150,000,000 RUB Russian Railways JSC 8.600% 25.06.2032 3,022,458 1.35 12 FRN 60,000,000 RUB UniCredit Bank ZAO 9.100% 23.10.2015 1,222,111 0.55 12 FRN 40,000,000 RUB Vnesheconombank 8.550% 23.09.2032 812,549 0.36 12 FRN 105,000,000 RUB Vnesheconombank 8.100% 27.09.2018 2,098,585 0.94 13 50,000,000 RUB VTB Bank OJSC 12 7.950% 01.09.2015 1,007,284 0.45 FRN Total - Russia 37,180,050 16.62 Serbia 150,000,000 RSD SERBIA 12 10.000% 01.03.2015 1,306,837 0.58 200,000,000 RSD SERBIA 12 TB 0.000% 13.03.2014 1,721,049 0.77 Total - Serbia 3,027,886 1.35 Turkey 500,000 Akbank TAS 12 3.875% 24.10.2017 357,304 0.16 Total - Turkey 357,304 0.16 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 47,216,964 21.11 47,216,964 21.11 213,028,770 95.23 Romania 12,750,000 RON Romania Government 5.950% 11.06.2021 2,936,688 1.31 Bond 11 10,000,000 RON Romania Government 5.900% 26.07.2017 2,325,295 1.04 Bond 12 Total - Romania 5,261,983 2.35 Russia 97,000,000 RUB Federal Grid Co 8.100% 21.10.2015 1,960,190 0.88 Unified Energy System JSC 12 FRN 50,000,000 RUB Gazprom OAO 09 13.750% 24.06.2014 1,025,518 0.46 * Any deviations of the percentages of the net assets are due to rounding. 45
Vontobel Fund - Absolute Return Bond (CHF) Notes Cost CHF Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 196,898,059 185,049,068 Cash at banks Receivable from subscriptions Interest and dividends receivable 22,700,341 340,184 1,323,773 (9) Interest receivable on swaps 695,736 (9) Unrealised gain on forward foreign exchange contracts 1,919,817 (9) Unrealised gain on swaps 6,906,685 Total Assets 218,935,604 Liabilities Bank overdraft 168,895 Payable for redemptions 86,166 Payable for investments purchased 9,113,249 (9) Unrealised loss on futures 158,496 Audit fees, printing and publishing expenses 4,541 (5) Service Fee payable 30,921 (4) Subscription Tax payable 15,445 (3) Management Fee payable 96,414 (3) Performance Fee payable 268 Other liabilities 3,992 Total Liabilities 9,678,387 Total net assets at the end of the period 209,257,217 Net assets at the beginning of the period 240,589,643 Net investment income 2,779,349 Change in unrealised appreciation/depreciation on: Investments -2,262,817 Futures -1,104,892 Forward foreign exchange contracts -771,867 Swaps 6,906,684 Net realised gain/loss on investments -3,260,562 Net realised gain/loss on forward foreign exchange contracts 6,164,632 Net realised gain/loss on currency exchange -328,482 Net realised gain/loss on futures -391,218 Net realised gain/loss on swaps -6,949,571 Increase/Decrease in net assets resulting from operations 781,256 Subscriptions of shares 35,163,089 Redemptions of shares -64,588,950 (11) Dividend distribution -2,687,821 Total net assets at the end of the period 209,257,217 46
Vontobel Fund - Absolute Return Bond (CHF) Notes CHF Statement of Net Income from September 1, 2013 to February 28, 2014 Income Bank interest 8,266 Net interest on bonds 2,263,007 Interest on Swaps 2,715,883 Other income 131 Total income 4,987,287 (3) Expenses Management Fees 626,571 (3) Performance Fee 1,290 Audit fees, printing and publishing expenses 9,702 (4) Subscription tax 46,406 Bank interest 16,897 Interest on Contracts for Difference 1,233,670 (5) Service Fees 206,020 (8) Other Fees payable 67,382 Total Expenses 2,207,938 Net investment income 2,779,349 47
Vontobel Fund - Absolute Return Bond (CHF) Portfolio as at February 28, 2014 CHF CHF Transferable securities admitted to an official exchange Bonds Australia 15,000,000 AUD Australia Government 6.250% 15.04.2015 12,314,461 5.88 Bond 02 20,000,000 AUD Australia Government 6.000% 15.02.2017 17,166,638 8.20 Bond 04 4,000,000 AUD Australia Government 5.750% 15.05.2021 3,562,243 1.70 Bond 07 4,235,000 AUD Australia Government 4.250% 21.07.2017 3,475,748 1.66 Bond 11 1,300,000 AUD Royal Bank of 7.250% 10.03.2014 1,025,233 0.49 Scotland PLC/Australia 11 5,000,000 AUD Treasury Corp of 5.750% 15.11.2016 4,221,235 2.02 Victoria 05 Total - Australia 41,765,558 19.96 France 7,000,000 Caisse des Depots et 1.125% 10.12.2018 8,550,100 4.09 Consignations 13 Total - France 8,550,100 4.09 Germany 12,500,000 Bundesobligation 11 2.750% 08.04.2016 16,039,003 7.66 6,000,000 Bundesobligation 12 0.500% 07.04.2017 7,355,299 3.51 3,000,000 Bundesobligation 12 0.500% 13.10.2017 3,672,723 1.76 1,000,000 Bundesrepublik 4.250% 04.07.2017 1,377,339 0.66 Deutschland 07 8,500,000 KFW 14 1.625% 15.01.2021 10,553,191 5.04 8,000,000 Landwirtschaftliche 0.332% 15.01.2021 9,711,301 4.64 Rentenbank 14 FRN 5,850,000 FMS 1.625% 20.11.2018 5,154,945 2.46 Wertmanagement AoeR 13 Total - Germany 53,863,802 25.74 Luxembourg 10,000,000 European Financial 0.750% 05.06.2017 12,223,553 5.84 Stability Facility 13 8,000,000 European Investment 2.250% 14.10.2022 10,068,081 4.81 Bank 12 300,000 Holcim Finance 9.000% 26.03.2014 366,732 0.18 Luxembourg SA 09 Total - Luxembourg 22,658,366 10.83 Sweden 7,000,000 Svensk Exportkredit 1.125% 20.11.2018 8,549,845 4.09 AB 13 Total - Sweden 8,549,845 4.09 United Kingdom 1,000,000 Imperial Tobacco 7.250% 15.09.2014 1,259,569 0.60 Finance PLC 08 Total - United Kingdom 1,259,569 0.60 United States 2,000,000 Ford Motor Credit Co 8.700% 01.10.2014 1,842,633 0.88 LLC 09 7,500,000 Inter-American 3.000% 21.02.2024 6,639,357 3.17 Development Bank 14 500,000 United States 2.125% 31.05.2015 451,117 0.22 Treasury Note/Bond 10 Total - United States 8,933,108 4.27 Total - Bonds Total - Transferable securities admitted to an official exchange 163,284,683 78.03 163,284,683 78.03 Transferable securities and money market instruments dealt in on another regulated market Bonds United States 25,332,000 United States 0.125% 15.01.2023 21,764,385 10.40 Treasury Inflation Indexed Bonds 13 Total - United States 21,764,385 10.40 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 21,764,385 10.40 21,764,385 10.40 185,049,068 88.43 Netherlands 10,000,000 Bank Nederlandse 0.286% 07.05.2015 8,810,727 4.21 Gemeenten 13 FRN 7,000,000 Nederlandse 0.284% 17.03.2015 6,166,707 2.95 Waterschapsbank NV 13 FRN Total - Netherlands 14,977,434 7.16 Norway 3,100,000 Kommunalbanken AS 0.750% 21.11.2016 2,726,902 1.30 13 Total - Norway 2,726,902 1.30 * Any deviations of the percentages of the net assets are due to rounding. 48
Vontobel Fund - Absolute Return Bond () Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 147,828,844 139,562,449 Cash at banks Receivable from subscriptions Interest and dividends receivable 11,376,190 9,212,353 1,054,278 (9) Interest receivable on swaps 530,608 (9) Unrealised gain on forward foreign exchange contracts 879,667 (9) Unrealised gain on swaps 5,262,438 Total Assets 167,877,983 Liabilities Bank overdraft 133,028 Payable for redemptions 9,368,525 Payable for investments purchased 1,452,548 Interest and dividends payable 100 (9) Unrealised loss on futures 199,730 Audit fees, printing and publishing expenses 3,615 (5) Service Fee payable 23,694 (4) Subscription Tax payable 10,852 (3) Management Fee payable 93,957 (3) Performance Fee payable 10,729 Other liabilities 2,829 Total Liabilities 11,299,607 Total net assets at the end of the period 156,578,376 Net assets at the beginning of the period 175,418,271 Net investment income 2,031,681 Change in unrealised appreciation/depreciation on: Investments -1,379,677 Futures -1,029,278 Forward foreign exchange contracts -1,122,869 Swaps 5,262,438 Net realised gain/loss on investments -1,144,162 Net realised gain/loss on forward foreign exchange contracts 4,403,871 Net realised gain/loss on currency exchange -211,437 Net realised gain/loss on futures -315,705 Net realised gain/loss on swaps -5,188,460 Increase/Decrease in net assets resulting from operations 1,306,402 Subscriptions of shares 41,559,680 Redemptions of shares -61,093,661 (11) Dividend distribution -612,316 Total net assets at the end of the period 156,578,376 49
Vontobel Fund - Absolute Return Bond () Notes Statement of Net Income from September 1, 2013 to February 28, 2014 Income Bank interest 9,034 Net interest on bonds 1,710,247 Interest on Swaps 2,160,143 Other income 19,193 Total income 3,898,617 (3) Expenses Management Fees 633,702 (3) Performance Fee 10,954 Audit fees, printing and publishing expenses 7,289 (4) Subscription tax 34,075 Bank interest 3,302 Interest on Contracts for Difference 957,671 (5) Service Fees 164,773 (8) Other Fees payable 55,170 Total Expenses 1,866,936 Net investment income 2,031,681 50
Vontobel Fund - Absolute Return Bond () Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Australia 15,400,000 AUD Australia Government 4.750% 15.06.2016 10,434,471 6.66 Bond 10 15,425,000 AUD Australia Government 4.250% 21.07.2017 10,406,438 6.65 Bond 11 4,000,000 AUD New South Wales 6.000% 01.04.2019 2,888,218 1.84 Treasury Corp 08 5,000,000 AUD New South Wales 6.000% 01.05.2020 3,615,002 2.31 Treasury Corp 10 7,000,000 AUD Queensland Treasury 6.000% 21.04.2016 4,824,214 3.08 Corp 10 1,700,000 AUD Royal Bank of 7.250% 10.03.2014 1,102,072 0.70 Scotland PLC/Australia 11 Total - Australia 33,270,416 21.25 France 7,000,000 Caisse des Depots et 1.125% 10.12.2018 7,028,350 4.49 Consignations 13 1,000,000 Banque PSA Finance 3.375% 04.04.2014 725,033 0.46 SA 11 Total - France 7,753,383 4.95 Germany 11,500,000 Bundesobligation 11 2.750% 08.04.2016 12,129,625 7.75 500,000 Bundesobligation 12 0.500% 07.04.2017 503,850 0.32 500,000 Bundesobligation 12 0.500% 13.10.2017 503,175 0.32 500,000 Bundesrepublik 4.250% 04.07.2017 566,100 0.36 Deutschland 07 6,500,000 KFW 14 1.625% 15.01.2021 6,633,770 4.24 3,000,000 Landwirtschaftliche 0.332% 15.01.2021 2,993,580 1.91 Rentenbank 14 FRN 5,850,000 FMS 1.625% 20.11.2018 4,237,464 2.71 Wertmanagement AoeR 13 Total - Germany 27,567,564 17.61 Italy 100,000 Italy Certificati di 1.140% 15.10.2017 99,065 0.06 Credito del Tesoro/ CCTS-eu 10 FRN Total - Italy 99,065 0.06 Luxembourg 8,500,000 European Financial 0.750% 05.06.2017 8,540,800 5.45 Stability Facility 13 9,000,000 European Investment 2.250% 14.10.2022 9,310,680 5.95 Bank 12 Total - Luxembourg 17,851,480 11.40 Norway 2,000,000 AUD Kommunalbanken AS 6.000% 21.10.2014 1,322,329 0.84 09 3,150,000 Kommunalbanken AS 0.750% 21.11.2016 2,277,720 1.45 13 Total - Norway 3,600,050 2.30 Sweden 7,000,000 Svensk Exportkredit 1.125% 20.11.2018 7,028,140 4.49 AB 13 Total - Sweden 7,028,140 4.49 United States 2,000,000 AUD International Finance 5.750% 16.03.2015 1,336,415 0.85 Corp 10 2,363,000 DZ Bank Capital 2.791% 31.12.2099 2,179,868 1.39 Funding Trust I 03 FRN 1,000,000 Ford Motor Credit Co 8.700% 01.10.2014 757,340 0.48 LLC 09 2,000,000 Inter-American 3.000% 21.02.2024 1,455,381 0.93 Development Bank 14 5,500,000 United States 3.250% 31.05.2016 4,235,898 2.71 Treasury Note/Bond 09 3,000,000 United States 2.125% 31.05.2015 2,224,963 1.42 Treasury Note/Bond 10 Total - United States 12,189,864 7.79 Total - Bonds Total - Transferable securities admitted to an official exchange 121,671,703 77.71 121,671,703 77.71 Transferable securities and money market instruments dealt in on another regulated market Bonds United States 25,332,000 United States 0.125% 15.01.2023 17,890,746 11.43 Treasury Inflation Indexed Bonds 13 Total - United States 17,890,746 11.43 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 17,890,746 11.43 17,890,746 11.43 139,562,449 89.13 Netherlands 10,000,000 Bank Nederlandse 0.286% 07.05.2015 7,242,588 4.63 Gemeenten 13 FRN 7,000,000 Nederlandse 0.284% 17.03.2015 5,069,153 3.24 Waterschapsbank NV 13 FRN Total - Netherlands 12,311,740 7.86 * Any deviations of the percentages of the net assets are due to rounding. 51
Vontobel Fund - Global Convertible Bond Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 197,864,583 202,355,100 Cash at banks Receivable from foreign currencies Receivable from subscriptions Interest and dividends receivable 12,129,240 709,398 170,305 707,775 Receivable for investments sold 1,572,018 (9) Unrealised gain on forward foreign exchange contracts 2,456,282 Other assets Total Assets 5,602 220,105,720 Liabilities Payable for redemptions 342,341 Payable for investments purchased 6,202,284 Payable on foreign currencies 716,242 (9) Unrealised loss on futures 165,426 Audit fees, printing and publishing expenses 3,770 (5) Service Fee payable 28,042 (4) Subscription Tax payable 10,531 (3) Management Fee payable 131,227 Other liabilities 12,239 Total Liabilities 7,612,102 Total net assets at the end of the period 212,493,618 Net assets at the beginning of the period 162,696,383 Net investment loss on investments -546,253 Change in unrealised appreciation/depreciation on: Investments 1,201,138 Futures -165,426 Forward foreign exchange contracts 229,673 Net realised gain/loss on investments 4,066,869 Net realised gain/loss on forward foreign exchange contracts 6,972,853 Net realised gain/loss on currency exchange -2,099,934 Net realised gain/loss on futures 317,156 Net realised gain/loss on options 84,200 Increase/Decrease in net assets resulting from operations 10,060,276 Subscriptions of shares 84,932,486 Redemptions of shares -45,094,547 (11) Dividend distribution -100,980 Total net assets at the end of the period 212,493,618 Income Net interest on bonds 384,566 Net dividends 79,640 Other income 118 Total income 464,324 (3) Expenses Management Fees 727,447 Audit fees, printing and publishing expenses 9,162 (4) Subscription tax 27,620 Bank interest 7,459 (5) Service Fees 186,951 (8) Other Fees payable 51,938 Total Expenses 1,010,577 Net investment loss on investments -546,253 52
Vontobel Fund - Global Convertible Bond Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Belgium 1,000,000 Groupe Bruxelles 0.125% 21.09.2015 1,268,760 0.60 Lambert SA 12 Total - Belgium 1,268,760 0.60 Cayman Islands 19,000,000 HKD Hengan International 0.000% 27.06.2018 1,857,825 0.87 Group Co Ltd 13 Total - Cayman Islands Finland 1,857,825 0.87 1,000,000 Solidium Oy 12 0.500% 29.09.2015 1,032,030 0.49 Total - Finland France 1,400,000 BNP Paribas SA 12 0.250% 21.09.2015 1,032,030 1,536,682 0.49 0.72 25,000 Cie Generale des 0.000% 01.01.2017 3,495,275 1.64 Etablissements Michelin 07 12,000 Credit Agricole SA 13 0.000% 06.12.2016 858,564 0.40 15,000 Fonciere Des Regions 0.875% 01.04.2019 1,272,658 0.60 13 25,000 Gecina SA 10 2.125% 01.01.2016 3,344,725 1.57 5,000 Misarte 10 3.250% 01.01.2016 877,358 0.41 10,000 Rallye SA 13 1.000% 02.10.2020 1,106,846 0.52 50,000 Suez Environnement 0.000% 27.02.2020 990,300 0.47 Co 14 40,000 Technip SA 10 0.500% 01.01.2016 3,680,005 1.73 20,000 Unibail-Rodamco SE 0.750% 01.01.2018 5,009,781 2.36 12 Total - France 22,172,194 10.43 Germany 1,000,000 Adidas AG 12 0.250% 14.06.2019 1,246,010 0.59 5,500,000 Deutsche Post AG 12 0.600% 06.12.2019 7,546,880 3.55 Total - Germany Hong Kong 800,000 HKEx International 0.500% 23.10.2017 8,792,890 616,142 4.14 0.29 Ltd 12 Total - Hong Kong Hungary 616,142 0.29 800,000 Magyar Nemzeti 3.375% 02.04.2019 830,384 0.39 Vagyonkezelo Zrt 13 Total - Hungary Japan 80,000,000 JPY ABC-Mart Inc 13 0.000% 05.02.2018 830,384 635,286 0.39 0.30 40,000,000 JPY Advantest 14 CV 0.000% 14.03.2019 304,479 0.14 145,000,000 JPY Ebara Corp 13 0.000% 19.03.2018 1,535,837 0.72 40,000,000 JPY GS Yuasa Corp 14 0.000% 13.03.2019 308,867 0.15 60,000,000 JPY Kawasaki Kisen 0.000% 26.09.2018 455,668 0.21 Kaisha Ltd 13 120,000,000 JPY Kureha Corp 13 0.000% 14.03.2018 1,071,399 0.50 20,000,000 JPY Nagoya Railroad Co 0.000% 03.10.2023 155,907 0.07 Ltd 13 70,000,000 JPY Park24 Co Ltd 13 0.000% 26.04.2018 538,555 0.25 40,000,000 JPY SBI Holdings 0.000% 02.11.2017 307,819 0.14 Inc/Japan 13 160,000,000 JPY Sony Corp 12 0.000% 30.11.2017 2,117,533 1.00 70,000,000 JPY Sumitomo Forestry 0.000% 24.08.2018 501,471 0.24 Co Ltd 13 60,000,000 JPY Taiyo Yuden Co Ltd 0.000% 27.01.2021 450,880 0.21 14 20,000,000 JPY Takashimaya Co Ltd 0.000% 11.12.2020 148,733 0.07 13 20,000,000 JPY Takashimaya Co Ltd 0.000% 11.12.2018 146,004 0.07 13 1,000,000 Bank of Iwate 0.000% 25.07.2018 775,158 0.36 Ltd/The 13 1,900,000 Shizuoka Bank 0.000% 25.04.2018 1,448,672 0.68 Ltd/The 13 500,000 Yamaguchi Financial 0.000% 20.12.2018 384,571 0.18 Group Inc 13 Total - Japan 11,286,840 5.31 Jersey 100,000 GBP St Modwen 2.875% 06.03.2019 121,398 0.06 Properties Securities Jersey Ltd 14 Total - Jersey 121,398 0.06 Korea, Republic Of 1,000,000 SK Hynix Inc 10 2.650% 14.05.2015 908,714 0.43 Total - Korea, Republic Of 908,714 0.43 Luxembourg 1,500,000 GBL Verwaltung SA 1.250% 07.02.2017 1,703,625 0.80 13 7,000,000 Glencore Finance 5.000% 31.12.2014 5,740,745 2.70 Europe SA 09 2,600,000 Subsea 7 SA 12 1.000% 05.10.2017 1,885,972 0.89 Total - Luxembourg 9,330,342 4.39 Malaysia 750,000 SGD Indah Capital Ltd 13 0.000% 24.10.2018 418,983 0.20 Total - Malaysia 418,983 0.20 Netherlands 1,700,000 CEZ MH BV 14 0.000% 04.08.2017 1,781,107 0.84 1,750,000 Salzgitter Finance BV 2.000% 08.11.2017 1,968,330 0.93 10 3,000,000 Volkswagen 5.500% 09.11.2015 3,485,700 1.64 International Finance NV 12 6,000,000 Lukoil International 2.625% 16.06.2015 4,549,035 2.14 Finance BV 10 3,000,000 Siemens 1.650% 16.08.2019 2,591,579 1.22 Financieringsmaatsch appij NV 12 6,000,000 Siemens 1.050% 16.08.2017 5,033,805 2.37 Financieringsmaatsch appij NV 12 Total - Netherlands 19,409,557 9.13 Spain 1,000,000 CaixaBank SA 13 4.500% 22.11.2016 1,011,730 0.48 * Any deviations of the percentages of the net assets are due to rounding. 53
Vontobel Fund - Global Convertible Bond Portfolio as at February 28, 2014 1,500,000 International 1.750% 31.05.2018 2,095,425 0.99 Consolidated Airlines Group SA 13 Total - Spain 3,107,155 1.46 Sweden 2,000,000 Industrivarden AB 10 2.500% 27.02.2015 2,567,240 1.21 3,000,000 Industrivarden AB 11 1.875% 27.02.2017 3,246,630 1.53 Total - Sweden 5,813,870 2.74 Switzerland 2,000,000 CHF Swiss Life Holding AG 0.000% 02.12.2020 1,847,077 0.87 13 Total - Switzerland 1,847,077 0.87 Taiwan 400,000 Far Eastern 0.000% 07.02.2018 291,957 0.14 International Bank 13 1,000,000 Pegatron Corp 12 0.000% 06.02.2017 837,729 0.39 Total - Taiwan 1,129,686 0.53 United Arab Emirates 1,500,000 Aabar Investments 4.000% 27.05.2016 1,824,240 0.86 PJSC 11 1,600,000 National Bank of Abu 1.000% 12.03.2018 1,276,374 0.60 Dhabi PJSC 13 Total - United Arab Emirates 3,100,614 1.46 United Kingdom 1,000,000 GBP Derwent London 2.750% 15.07.2016 1,556,005 0.73 Capital Jersey Ltd 11 200,000 GBP Derwent London 1.125% 24.07.2019 259,024 0.12 Capital No 2 Jersey Ltd 13 1,000,000 GBP J Sainsbury PLC 09 4.250% 16.07.2014 1,243,914 0.59 1,600,000 GBP TUI Travel PLC 09 6.000% 05.10.2014 2,459,012 1.16 Total - United Kingdom 5,517,954 2.60 United States 500,000 Cubist 1.125% 01.09.2018 448,152 0.21 Pharmaceuticals Inc 13 250,000 InvenSense Inc 13 1.750% 01.11.2018 207,820 0.10 2,000,000 Newmont Mining 1.250% 15.07.2014 1,449,618 0.68 Corp 07 2,250,000 NVIDIA Corp 13 1.000% 01.12.2018 1,816,112 0.85 4,350,000 Prologis LP 11 3.250% 15.03.2015 3,707,429 1.74 750,000 Prospect Capital Corp 5.750% 15.03.2018 582,449 0.27 12 1,000,000 RPM International Inc 2.250% 15.12.2020 841,436 0.40 13 500,000 Shutterfly Inc 13 0.250% 15.05.2018 399,681 0.19 350,000 Tesla Motors Inc 14 1.250% 01.03.2021 248,661 0.12 350,000 Tesla Motors Inc 14 0.250% 01.03.2019 250,561 0.12 Total - United States 9,951,920 4.68 Virgin Islands 2,800,000 Billion Express 0.750% 18.10.2015 2,044,224 0.96 Investments Ltd 10 Total - Virgin Islands 2,044,224 0.96 Total - Bonds 110,558,559 52.03 Shares Canada 10,000 GOLDCORP INC 194,982 0.09 Total - Canada 194,982 0.09 France 100,000 AXA SA 1,894,000 0.89 Total - France 1,894,000 0.89 Germany 10,000 Adidas AG 844,000 0.40 20,000 Siemens AG 1,935,200 0.91 Total - Germany 2,779,200 1.31 Luxembourg 50,000 ArcelorMittal 573,250 0.27 Total - Luxembourg 573,250 0.27 Switzerland 5,000 CHF Swiss Life Holding AG 899,700 0.42 Total - Switzerland 899,700 0.42 United States 20,000 EMC Corp/MA 381,856 0.18 50,000 Ford Motor Co 557,144 0.26 55,000 Gilead Sciences Inc 3,296,854 1.55 60,000 Intel Corp 1,075,625 0.51 40,000 Mylan Inc/PA 1,609,383 0.76 10,000 Newmont Mining Corp 168,410 0.08 Total - United States 7,089,273 3.34 Total - Shares Total - Transferable securities admitted to an official exchange 13,430,406 6.32 123,988,965 58.35 Transferable securities and money market instruments dealt in on another regulated market Bonds Canada 1,800,000 Goldcorp Inc 09 2.000% 01.08.2014 1,311,120 0.62 Total - Canada 1,311,120 0.62 Italy 5,500,000 Eni SpA 12 0.250% 30.11.2015 5,666,155 2.67 5,000,000 Eni SpA 13 0.625% 18.01.2016 5,357,600 2.52 * Any deviations of the percentages of the net assets are due to rounding. 54
Vontobel Fund - Global Convertible Bond Portfolio as at February 28, 2014 400,000 Schematrentaquattro 0.250% 29.11.2016 424,836 0.20 SpA 13 Total - Italy Japan 50,000,000 JPY Daifuku Co Ltd 13 0.000% 02.10.2017 11,448,591 432,669 5.39 0.20 55,000,000 JPY Maeda Corp 13 0.000% 13.09.2018 428,948 0.20 80,000,000 JPY Makino Milling 0.000% 19.03.2018 673,406 0.32 Machine Co Ltd 13 30,000,000 JPY Musashi Seimitsu 0.000% 06.12.2018 216,804 0.10 Industry Co Ltd 13 100,000,000 JPY Nihon Unisys Ltd 13 0.000% 20.06.2016 860,825 0.41 70,000,000 JPY Nikkiso Co Ltd 13 0.000% 02.08.2018 547,722 0.26 85,000,000 JPY Nippon Light Metal 0.000% 10.12.2018 635,888 0.30 Holdings Co Ltd 13 70,000,000 JPY Paramount Bed 0.000% 26.07.2018 529,358 0.25 Holdings Co Ltd 13 85,000,000 JPY Press Kogyo Co Ltd 0.000% 28.12.2018 639,205 0.30 13 75,000,000 JPY Resorttrust Inc 13 0.000% 27.07.2018 599,544 0.28 500,000 MISUMI Group Inc 0.000% 22.10.2018 394,820 0.19 13 Total - Japan 5,959,188 2.80 1,000,000 Nuance 2.750% 15.08.2027 755,037 0.36 Communications Inc 07 2,350,000 priceline.com Inc 12 1.000% 15.03.2018 2,631,697 1.24 2,750,000 SanDisk Corp 13 0.500% 15.10.2020 2,095,348 0.99 7,000,000 WellPoint Inc 12 2.750% 15.10.2042 6,902,310 3.25 5,000,000 Xilinx Inc 10 2.625% 15.06.2017 6,540,093 3.08 2,000,000 Yahoo! Inc 13 0.000% 01.12.2018 1,519,864 0.72 Total - United States 50,101,684 23.58 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 71,440,772 33.62 71,440,772 33.62 202,355,100 95.23 Jersey 100,000 GBP Balfour Beatty 1.875% 03.12.2018 129,810 0.06 Finance No.2 Ltd 13 Total - Jersey 129,810 0.06 Spain 2,200,000 Caja de Ahorros y 1.000% 25.11.2017 2,490,378 1.17 Pensiones de Barcelona 13 Total - Spain 2,490,378 1.17 United States 750,000 Akamai Technologies 0.000% 15.02.2019 549,814 0.26 Inc 14 1,750,000 Allegheny 4.250% 01.06.2014 1,280,250 0.60 Technologies Inc 09 2,000,000 Ares Capital Corp 12 5.750% 01.02.2016 1,574,398 0.74 1,000,000 BioMarin 0.750% 15.10.2018 846,179 0.40 Pharmaceutical Inc 13 1,000,000 Cobalt International 2.625% 01.12.2019 699,772 0.33 Energy Inc 12 1,500,000 Ford Motor Co 09 4.250% 15.11.2016 1,953,861 0.92 500,000 Gilead Sciences Inc 10 1.625% 01.05.2016 1,311,291 0.62 3,000,000 Intel Corp 06 2.950% 15.12.2035 2,453,716 1.15 5,500,000 Intel Corp 09 3.250% 01.08.2039 5,386,388 2.53 2,800,000 International Game 3.250% 01.05.2014 2,035,182 0.96 Technology 09 1,500,000 Jefferies Group LLC 3.875% 01.11.2029 1,157,590 0.54 09 3,000,000 Lam Research Corp 0.500% 15.05.2016 2,462,709 1.16 11 2,250,000 Liberty Media Corp 1.375% 15.10.2023 1,591,641 0.75 13 500,000 Molina Healthcare Inc 1.125% 15.01.2020 405,970 0.19 13 2,000,000 Newmont Mining 1.625% 15.07.2017 1,546,291 0.73 Corp 07 3,750,000 Novellus Systems Inc 2.625% 15.05.2041 4,402,283 2.07 11 * Any deviations of the percentages of the net assets are due to rounding. 55
Vontobel Fund - Emerging s Bond Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 219,601,582 194,850,998 Cash at banks Receivable from foreign currencies Receivable from subscriptions 2,103,846 48,304 136,226 Interest and dividends receivable 3,372,844 (9) Unrealised gain on forward foreign exchange contracts Total Assets 1,346,333 201,858,551 Liabilities Payable for redemptions 256,352 Payable on foreign currencies 48,444 Interest and dividends payable 28,296 (9) Unrealised loss on futures 34,063 Audit fees, printing and publishing expenses 5,541 (5) Service Fee payable 37,749 (4) Subscription Tax payable 14,290 (3) Management Fee payable 158,556 Other liabilities 17,088 Total Liabilities 600,379 Total net assets at the end of the period 201,258,172 Net assets at the beginning of the period 266,539,981 Net investment income 5,580,751 Change in unrealised appreciation/depreciation on: Investments 7,296,484 Futures -34,063 Forward foreign exchange contracts 2,969,392 Net realised gain/loss on investments -7,713,269 Net realised gain/loss on forward foreign exchange contracts 4,512,716 Net realised gain/loss on currency exchange -642,762 Net realised gain/loss on futures 124,256 Increase/Decrease in net assets resulting from operations 12,093,505 Subscriptions of shares 35,740,224 Redemptions of shares -111,537,596 (11) Dividend distribution -1,577,942 Total net assets at the end of the period 201,258,172 Income Bank interest 3,596 Net interest on bonds 7,307,745 Net dividends -4,671 Other income 19,203 Total income 7,325,873 (3) Expenses Management Fees 1,259,012 Audit fees, printing and publishing expenses 12,067 (4) Subscription tax 54,192 Bank interest 5,689 (5) Service Fees 355,167 (8) Other Fees payable 58,995 Total Expenses 1,745,122 Net investment income 5,580,751 56
Vontobel Fund - Emerging s Bond Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Brazil 2,500 BRL Brazil Notas do 6.000% 15.08.2022 2,512,102 1.25 Tesouro Nacional Serie B 11 6,000 BRL Brazil Notas do 10.000% 01.01.2017 2,443,477 1.21 Tesouro Nacional Serie F 07 8,000 BRL Brazil Notas do 10.000% 01.01.2018 3,196,421 1.59 Tesouro Nacional Serie F 12 Total - Brazil 8,152,001 4.05 Chile 500,000,000 CLP Bonos de la Tesoreria 6.000% 01.01.2020 942,275 0.47 de la Republica en pesos 10 50,000,000 CLP Chile Government 5.500% 05.08.2020 90,161 0.04 International Bond 10 Total - Chile 1,032,436 0.51 Colombia 2,000,000,000 COP Colombia 12.000% 22.10.2015 1,088,416 0.54 Government International Bond 05 1,750,000,000 COP Colombia 7.750% 14.04.2021 926,240 0.46 Government International Bond 10 3,000,000,000 COP Colombian TES 05 11.000% 24.07.2020 1,771,059 0.88 5,000,000,000 COP Colombian TES 06 8.000% 28.10.2015 2,561,683 1.27 3,500,000,000 COP Colombian TES 11 7.500% 26.08.2026 1,655,394 0.82 3,000,000,000 COP Colombian TES 12 7.000% 04.05.2022 1,446,739 0.72 Total - Colombia 9,449,531 4.70 Hungary 300,000,000 HUF Hungary Government 7.500% 12.11.2020 1,487,043 0.74 Bond 04 300,000,000 HUF Hungary Government 6.750% 22.10.2028 1,374,333 0.68 Bond 11 400,000,000 HUF Hungary Government 5.500% 22.12.2016 1,838,093 0.91 Bond 13 750,000,000 HUF Hungary Government 5.500% 20.12.2018 3,407,702 1.69 Bond 13 2,000,000 Hungary Government 5.375% 21.02.2023 2,036,200 1.01 International Bond 13 Total - Hungary 10,143,372 5.04 India 100,000,000 INR India Government 8.150% 11.06.2022 1,514,870 0.75 Bond 12 Total - India 1,514,870 0.75 Indonesia 30,000,000,000 IDR Indonesia Treasury 7.000% 15.05.2022 2,378,110 1.18 Bond 11 35,000,000,000 IDR Indonesia Treasury 7.000% 15.05.2027 2,578,554 1.28 Bond 11 45,000,000,000 IDR Indonesia Treasury 5.625% 15.05.2023 3,202,018 1.59 Bond 12 30,000,000,000 IDR Indonesia Treasury 6.125% 15.05.2028 2,019,035 1.00 Bond 12 30,000,000,000 IDR Indonesia Treasury 7.875% 15.04.2019 2,590,919 1.29 Bond 13 Total - Indonesia 12,768,636 6.34 Korea, Republic Of 30,000,000,000 IDR Export-Import Bank 8.400% 06.07.2016 2,529,673 1.26 of Korea 11 Total - Korea, Republic Of 2,529,673 1.26 Luxembourg 6,500,000 BRL Cosan Luxembourg 9.500% 14.03.2018 2,376,895 1.18 SA 13 2,750,000 ZAR European Investment 7.500% 01.06.2016 256,480 0.13 Bank 05 Total - Luxembourg 2,633,375 1.31 Malaysia 12,000,000 MYR Malaysia Government 3.580% 28.09.2018 3,645,344 1.81 Bond 11 Total - Malaysia 3,645,344 1.81 Mexico 250,000 MXN Mexican Bonos 07 7.500% 03.06.2027 2,028,132 1.01 250,000 MXN Mexican Bonos 10 8.000% 11.06.2020 2,124,060 1.06 400,000 MXN Mexican Bonos 11 6.500% 10.06.2021 3,123,600 1.55 350,000 MXN Mexican Bonos 12 5.000% 15.06.2017 2,683,865 1.33 300,000 MXN Mexican Bonos 12 7.750% 13.11.2042 2,376,677 1.18 100,000 MXN Mexican Udibonos 11 2.500% 10.12.2020 3,938,719 1.96 Total - Mexico 16,275,053 8.09 Namibia 3,000,000 Namibia International 5.500% 03.11.2021 3,101,040 1.54 Bonds 11 Total - Namibia 3,101,040 1.54 Peru 4,000 PEN PERU 08 6.950% 12.08.2031 1,403,122 0.70 5,000 PEN Peru Government 6.900% 12.08.2037 1,718,598 0.85 Bond 07 Total - Peru 3,121,720 1.55 Philippines 50,000,000 PHP Philippine 4.950% 15.01.2021 1,145,629 0.57 Government International Bond 10 90,000,000 PHP Philippine 6.250% 14.01.2036 2,000,895 0.99 Government International Bond 11 Total - Philippines 3,146,523 1.56 Poland 6,000,000 PLN Poland Government 5.750% 23.09.2022 2,186,499 1.09 Bond 02 6,422,300 PLN Poland Government 3.000% 24.08.2016 2,218,476 1.10 Bond 04 6,969,960 PLN Poland Government 2.750% 25.08.2023 2,400,503 1.19 Bond 08 6,000,000 PLN Poland Government 5.750% 25.04.2029 2,185,525 1.09 Bond 08 8,000,000 PLN Poland Government Bond 10 5.250% 25.10.2020 2,827,611 1.40 * Any deviations of the percentages of the net assets are due to rounding. 57
Vontobel Fund - Emerging s Bond Portfolio as at February 28, 2014 8,000,000 PLN Poland Government 4.750% 25.10.2016 2,751,147 1.37 Bond 11 4,000,000 PLN Poland Government 3.750% 25.04.2018 1,331,607 0.66 Bond 12 4,500,000 PLN Poland Government 4.000% 25.10.2023 1,446,168 0.72 Bond 12 1,500,000 Poland Government 3.000% 17.03.2023 1,409,625 0.70 International Bond 12 Total - Poland 18,757,161 9.32 Romania 5,000,000 RON Romania Government 5.600% 28.11.2018 1,593,168 0.79 Bond 13 1,000,000 Romanian 4.375% 22.08.2023 995,530 0.49 Government International Bond 13 Total - Romania 2,588,698 1.29 Russia 105,000,000 RUB Russian Federal Bond 7.050% 19.01.2028 2,617,467 1.30 - OFZ 13 35,000,000 RUB Russian Foreign Bond 7.850% 10.03.2018 974,997 0.48 - Eurobond 11 Total - Russia 3,592,464 1.79 South Africa 24,286,000 ZAR South Africa 2.750% 31.01.2022 2,346,415 1.17 Government Bond - CPI Linked 10 20,500,000 ZAR South Africa 8.000% 21.12.2018 1,907,379 0.95 Government Bond 04 35,000,000 ZAR South Africa 8.250% 15.09.2017 3,307,461 1.64 Government Bond 04 40,000,000 ZAR South Africa 7.250% 15.01.2020 3,554,553 1.77 Government Bond 05 30,000,000 ZAR South Africa 6.750% 31.03.2021 2,556,100 1.27 Government Bond 06 40,000,000 ZAR South Africa 7.750% 28.02.2023 3,558,687 1.77 Government Bond 12 13,500,000 ZAR South Africa 10.500% 21.12.2026 1,446,029 0.72 Government Bond 98 Total - South Africa 18,676,624 9.28 Thailand 60,000,000 THB Thailand Government 3.875% 13.06.2019 1,902,121 0.95 Bond 09 85,000,000 THB Thailand Government 3.650% 17.12.2021 2,625,162 1.30 Bond 10 83,000,000 THB Thailand Government 3.625% 16.06.2023 2,536,223 1.26 Bond 10 80,000,000 THB Thailand Government 3.775% 25.06.2032 2,316,235 1.15 Bond 12 81,621,600 THB Thailand Government 1.250% 12.03.2028 2,123,052 1.05 Bond 13 Total - Thailand 11,502,793 5.72 Turkey 2,000,000 TRY Mercedes-Benz 10.030% 10.07.2015 878,751 0.44 Finansman Turk AS 13 8,100,000 TRY Turkey Government 10.000% 17.06.2015 3,638,385 1.81 Bond 10 6,843,400 TRY Turkey Government 4.500% 11.02.2015 3,087,450 1.53 Bond 10 2,000,000 TRY Turkey Government 8.500% 14.09.2022 823,160 0.41 Bond 12 5,668,915 TRY Turkey Government 2.000% 26.10.2022 2,243,117 1.11 Bond 12 5,500,000 TRY Turkey Government 9.000% 08.03.2017 2,391,777 1.19 Bond 12 4,000,000 TRY Turkey Government 7.100% 08.03.2023 1,493,587 0.74 Bond 13 7,000,000 TRY Turkey Government 6.300% 14.02.2018 2,750,609 1.37 Bond 13 Total - Turkey 17,306,837 8.60 United States 7,000,000 BRL Anheuser-Busch 9.750% 17.11.2015 2,969,575 1.48 InBev Worldwide Inc 10 6,000,000 BRL International Bank for 7.000% 13.04.2015 2,499,040 1.24 Reconstruction & Development 12 5,000,000 BRL International Finance 6.000% 15.12.2016 1,938,805 0.96 Corp 13 Total - United States 7,407,420 3.68 Total - Bonds Total - Transferable securities admitted to an official exchange 157,345,569 78.18 157,345,569 78.18 Transferable securities and money market instruments dealt in on another regulated market Bonds Brazil 5,000 BRL Brazil Letras do 0.000% 01.07.2015 1,850,027 0.92 Tesouro Nacional 13 Total - Brazil 1,850,027 0.92 Malaysia 9,500,000 MYR Malaysia Government 4.392% 15.04.2026 2,902,105 1.44 Bond 11 8,000,000 MYR Malaysia Government 4.160% 15.07.2021 2,456,770 1.22 Bond 11 8,000,000 MYR Malaysia Government 3.889% 31.07.2020 2,438,897 1.21 Bond 13 7,500,000 MYR Malaysia Government 3.480% 15.03.2023 2,173,365 1.08 Bond 13 10,000,000 MYR Malaysia Government 3.172% 15.07.2016 3,046,485 1.51 Bond 13 2,000,000 Wakala Global Sukuk 4.646% 06.07.2021 2,157,620 1.07 Bhd 11 Total - Malaysia 15,175,244 7.54 Nigeria 300,000,000 NGN Nigeria Government 10.700% 30.05.2018 1,640,414 0.82 Bond 08 350,000,000 NGN Nigeria Government 10.500% 18.03.2014 2,119,854 1.05 Bond 11 Total - Nigeria 3,760,268 1.87 Russia 100,000,000 RUB Russian Federal Bond 7.350% 20.01.2016 2,809,330 1.40 - OFZ 11 43,000,000 RUB Russian Federal Bond 7.600% 14.04.2021 1,171,565 0.58 - OFZ 11 85,000,000 RUB Russian Federal Bond - OFZ 11 7.000% 03.06.2015 2,380,717 1.18 * Any deviations of the percentages of the net assets are due to rounding. 58
Vontobel Fund - Emerging s Bond Portfolio as at February 28, 2014 145,000,000 RUB Russian Federal Bond 7.000% 25.01.2023 3,760,541 1.87 - OFZ 13 95,000,000 RUB Russian Railways JSC 8.600% 25.06.2032 2,643,829 1.31 12 FRN Total - Russia Thailand 12,765,982 6.34 95,712,300 THB Thailand Government 1.200% 14.07.2021 2,735,964 1.36 Bond 11 Total - Thailand 2,735,964 1.36 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 36,287,484 18.03 36,287,484 18.03 194,850,998 96.82 * Any deviations of the percentages of the net assets are due to rounding. 59
Vontobel Fund - Swiss Mid and Small Cap Equity Notes Cost CHF Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 106,602,298 154,929,827 Cash at banks 1,825,386 Receivable from subscriptions 493,843 Interest and dividends receivable -76 Receivable for investments sold Total Assets 528,929 157,777,909 Liabilities Payable for redemptions 366,664 Payable for investments purchased 1,164,889 Audit fees, printing and publishing expenses 3,103 (5) Service Fee payable 35,162 (4) Subscription Tax payable 9,276 (3) Management Fee payable 157,972 Other liabilities 9,077 Total Liabilities 1,746,143 Total net assets at the end of the period 156,031,766 Net assets at the beginning of the period 124,693,972 Net investment loss on investments -1,171,006 Change in unrealised appreciation/depreciation on: Investments 18,409,305 Net realised gain/loss on investments 7,976,278 Net realised gain/loss on currency exchange -64 Increase/Decrease in net assets resulting from operations 25,214,513 Subscriptions of shares 54,231,109 Redemptions of shares -48,060,910 (11) Dividend distribution -46,918 Total net assets at the end of the period 156,031,766 Income Net dividends 46,343 Other income 2,632 Total income 48,975 (3) Expenses Management Fees 956,353 Audit fees, printing and publishing expenses 7,447 (4) Subscription tax 27,000 Bank interest 6,542 (5) Service Fees 214,686 (12) Securities Lending Fees 845 (8) Other Fees payable 7,108 Total Expenses 1,219,981 Net investment loss on investments -1,171,006 60
Vontobel Fund - Swiss Mid and Small Cap Equity Portfolio as at February 28, 2014 CHF CHF Transferable securities admitted to an official exchange Shares Austria 22,918 CHF ams AG 2,575,983 1.65 Total - Austria * Any deviations of the percentages of the net assets are due to rounding. 2,575,983 1.65 Switzerland 84,700 CHF Actelion Ltd 7,898,275 5.06 77,395 CHF AFG Arbonia-Forster 2,198,018 1.41 Holding AG 51,200 CHF Aryzta AG 3,758,080 2.41 184,338 CHF Ascom Holding AG 3,401,036 2.18 53,800 CHF Baloise Holding AG 6,100,920 3.91 4,400 CHF Banque Cantonale 2,279,200 1.46 Vaudoise 1,094 CHF Belimo Holding AG 2,625,600 1.68 34,000 CHF BKW AG 1,001,300 0.64 11,100 CHF Bucher Industries AG 2,988,675 1.92 7,100 CHF Burckhardt 3,251,800 2.08 Compression Holding AG 30,000 CHF Calida Holding AG 954,000 0.61 46,000 CHF Cembra Money Bank 2,734,700 1.75 AG 235,000 CHF Clariant AG 4,234,700 2.71 22,100 CHF Daetwyler Holding 2,994,550 1.92 AG 20,500 CHF DKSH Holding AG 1,302,775 0.83 23,200 CHF Dufry AG 3,461,440 2.22 3,000 CHF EMS-Chemie Holding 1,017,000 0.65 AG 3,200 CHF Flughafen Zuerich 1,785,600 1.14 AG 3,020 CHF Galenica AG 2,823,700 1.81 60,197 CHF Gategroup Holding 1,718,624 1.10 AG 5,370 CHF Georg Fischer AG 3,785,850 2.43 3,944 CHF Helvetia Holding AG 1,799,450 1.15 43,000 CHF Implenia AG 2,868,100 1.84 7,732 CHF Inficon Holding AG 2,648,210 1.70 4,680 CHF Interroll Holding AG 2,606,760 1.67 64,600 CHF Kuehne + Nagel 8,113,760 5.20 International AG 8,600 CHF Kuoni Reisen Holding 3,218,550 2.06 AG 23,550 CHF Leonteq AG 3,214,575 2.06 1,490 CHF Lindt & Spruengli AG 6,457,660 4.14 370,000 CHF Logitech 5,198,500 3.33 International SA 50,000 CHF Lonza Group AG 4,650,000 2.98 95,250 CHF Meyer Burger 1,585,913 1.02 Technology AG 200,000 CHF OC Oerlikon Corp 3,010,000 1.93 AG 13,600 CHF Partners Group 3,115,760 2.00 Holding AG 11,450 CHF Rieter Holding AG 2,287,710 1.47 31,850 CHF Schindler Holding AG 4,201,015 2.69 2,575 CHF Schweiter 1,763,875 1.13 Technologies AG 1,570 CHF Sika AG 5,093,080 3.26 33,100 CHF Sonova Holding AG 4,117,640 2.64 10,854 CHF Straumann Holding AG 2,055,748 1.32 10,500 CHF Sulzer AG 1,307,250 0.84 62,700 CHF Swatch Group AG 6,483,180 4.16 35,850 CHF Swiss Life Holding 7,847,565 5.03 AG 7,500 CHF Tecan Group AG 792,000 0.51 110,000 CHF Temenos Group AG 3,415,500 2.19 5,000 CHF Valora Holding AG 1,249,000 0.80 6,000 CHF VZ Holding AG 937,200 0.60 Total - Switzerland 152,353,844 97.64 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 154,929,827 99.29 154,929,827 99.29 154,929,827 99.29 61
Vontobel Fund - European Mid and Small Cap Equity Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 139,520,893 177,287,250 Cash at banks 7,757,584 Receivable from foreign currencies 768,395 Receivable from subscriptions 294,702 Interest and dividends receivable 32,457 Receivable for investments sold 989,564 Other assets Total Assets 150,697 187,280,649 Liabilities Payable for redemptions 1,159,416 Payable for investments purchased 848,946 Payable on foreign currencies 763,691 Audit fees, printing and publishing expenses 3,557 (5) Service Fee payable 45,976 (4) Subscription Tax payable 6,826 (3) Management Fee payable 153,104 Other liabilities 9,754 Total Liabilities 2,991,270 Total net assets at the end of the period 184,289,379 Net assets at the beginning of the period 131,904,155 Net investment loss on investments -518,394 Change in unrealised appreciation/depreciation on: Investments 17,792,258 Net realised gain/loss on investments 9,229,706 Net realised gain/loss on currency exchange -35,452 Increase/Decrease in net assets resulting from operations 26,468,118 Subscriptions of shares 79,386,517 Redemptions of shares -53,453,491 (11) Dividend distribution -15,920 Total net assets at the end of the period 184,289,379 Income Net dividends 536,964 Other income 149,048 Total income 686,012 (3) Expenses Management Fees 864,441 Audit fees, printing and publishing expenses 11,951 (4) Subscription tax 19,042 Bank interest 85 (5) Service Fees 261,010 (12) Securities Lending Fees 40,109 (8) Other Fees payable 7,768 Total Expenses 1,204,406 Net investment loss on investments -518,394 62
Vontobel Fund - European Mid and Small Cap Equity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Austria 32,000 CHF ams AG 2,956,639 1.60 90,000 Andritz AG 4,098,150 2.22 Total - Austria 7,054,789 3.83 Belgium 50,000 Barco NV 2,868,000 1.56 Total - Belgium 2,868,000 1.56 Finland 90,000 Nokian Renkaat OYJ 2,925,000 1.59 Total - Finland 2,925,000 1.59 France 50,000 Alten SA 1,931,000 1.05 55,000 Imerys SA 3,712,500 2.01 60,000 Ingenico 4,200,600 2.28 115,000 IPSOS 3,554,650 1.93 110,000 Mersen 2,521,200 1.37 Total - France 15,919,950 8.64 Germany 150,000 Aareal Bank AG 4,785,000 2.60 375,000 Alstria Office REIT- 3,774,375 2.05 AG 30,000 Amadeus Fire AG 1,940,700 1.05 25,000 Bertrandt AG 2,662,500 1.44 110,000 CANCOM SE 4,042,500 2.19 100,000 CENTROTEC 1,986,500 1.08 Sustainable AG 200,000 Elmos Semiconductor 2,725,000 1.48 AG 115,000 Gerry Weber 4,209,000 2.28 International AG 42,500 Grenkeleasing AG 3,234,250 1.75 200,000 Jenoptik AG 2,555,000 1.39 47,000 Jungheinrich AG 2,513,090 1.36 400,000 Patrizia Immobilien 3,252,000 1.76 AG 35,000 Pfeiffer Vacuum 2,992,500 1.62 Technology AG 400,000 Suss Microtec AG 2,920,000 1.58 700,000 Tomorrow Focus AG 2,995,300 1.63 Total - Germany 46,587,715 25.28 Ireland 1,800,000 Aer Lingus Group plc 2,943,000 1.60 250,000 CPL Resources PLC 1,837,500 1.00 1,400,000 IFG Group PLC 2,338,000 1.27 380,000 Origin Enterprises 2,758,800 1.50 PLC 428,000 GBP Kentz Corp Ltd 3,928,683 2.13 950,000 GBP UDG Healthcare PLC 4,259,243 2.31 Total - Ireland 18,065,226 9.80 Italy 180,000 De'Longhi SpA 2,550,600 1.38 Total - Italy 2,550,600 1.38 Jersey 850,000 GBP Cape PLC 2,941,975 1.60 Total - Jersey 2,941,975 1.60 Luxembourg 300,000 SAF-Holland SA 3,345,000 1.82 Total - Luxembourg 3,345,000 1.82 Netherlands 170,000 Aalberts Industries NV 4,164,150 2.26 60,000 Brunel International 2,762,100 1.50 NV 45,000 Gemalto NV 3,667,500 1.99 110,000 Koninklijke Ten Cate NV 2,640,000 1.43 Total - Netherlands 13,233,750 7.18 Singapore 120,000 GBP XP Power Ltd 2,475,281 1.34 Total - Singapore 2,475,281 1.34 Sweden 130,000 SEK Investment AB Kinnevik 3,657,326 1.98 475,000 SEK Nobia AB 3,113,989 1.69 Total - Sweden 6,771,315 3.67 Switzerland 40,000 CHF Basilea Pharmaceutica 4,251,484 2.31 320,000 CHF Clariant AG 4,740,092 2.57 22,048 CHF Komax Holding AG 2,519,220 1.37 35,000 CHF Sulzer AG 3,581,949 1.94 Total - Switzerland 15,092,745 8.19 United Kingdom 185,000 Dialog Semiconductor PLC 3,115,400 1.69 60,000 Tipp24 SE 3,292,200 1.79 375,000 GBP Bodycote PLC 3,439,912 1.87 500,000 GBP Devro PLC 1,882,548 1.02 215,000 GBP Hargreaves Services 2,282,658 1.24 PLC 500,000 GBP Hyder Consulting 2,626,953 1.43 PLC 157,500 GBP IMI PLC 2,914,370 1.58 180,000 GBP IMI PLC IMMEDIATE 436,814 0.24 CAPITAL NPV 150,000 GBP Kier Group PLC 3,443,553 1.87 500,000 GBP Northgate PLC 3,609,785 1.96 1,500,000 GBP SIG PLC 3,849,426 2.09 1,000,000 GBP TT electronics PLC 2,702,788 1.47 * Any deviations of the percentages of the net assets are due to rounding. 63
Vontobel Fund - European Mid and Small Cap Equity Portfolio as at February 28, 2014 800,000 GBP William Hill PLC 3,859,497 2.09 Total - United Kingdom 37,455,904 20.32 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 177,287,250 96.20 177,287,250 96.20 177,287,250 96.20 * Any deviations of the percentages of the net assets are due to rounding. 64
Vontobel Fund - Japanese Equity Notes Cost JPY Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 5,522,368,056 5,970,017,500 Cash at banks 113,211,476 Receivable from subscriptions 2,109,244 Interest and dividends receivable 4,460,245 Receivable for investments sold Total Assets 106,491,627 6,196,290,092 Liabilities Payable for redemptions 2,302,900 Payable for investments purchased 84,736,811 Audit fees, printing and publishing expenses 152,928 (5) Service Fee payable 1,621,511 (4) Subscription Tax payable 268,520 (3) Management Fee payable 4,328,979 Other liabilities 856,173 Total Liabilities 94,267,822 Total net assets at the end of the period 6,102,022,270 Net assets at the beginning of the period 6,041,442,032 Net investment loss on investments -778,994 Change in unrealised appreciation/depreciation on: Investments -46,905,633 Net realised gain/loss on investments 557,066,890 Net realised gain/loss on currency exchange 24,276 Increase/Decrease in net assets resulting from operations 509,406,539 Subscriptions of shares 1,535,425,460 Redemptions of shares -1,984,251,761 Total net assets at the end of the period 6,102,022,270 Income Net dividends 42,403,706 Other income 163,078 Total income 42,566,784 (3) Expenses Management Fees 29,802,181 Audit fees, printing and publishing expenses 373,052 (4) Subscription tax 910,427 Bank interest 264,194 (5) Service Fees 11,324,928 (12) Securities Lending Fees 10,876 (8) Other Fees payable 660,120 Total Expenses 43,345,778 Net investment loss on investments -778,994 65
Vontobel Fund - Japanese Equity Portfolio as at February 28, 2014 JPY Transferable securities admitted to an official exchange Shares Japan 36,800 JPY Astellas Pharma Inc 242,659,200 3.98 76,500 JPY Bridgestone Corp 280,525,500 4.60 142,000 JPY Daicel Corp 124,676,000 2.04 66,500 JPY Daifuku Co Ltd 90,639,500 1.49 23,400 JPY Denso Corp 127,296,000 2.09 18,600 JPY Dentsu Inc 71,145,000 1.17 25,500 JPY Don Quijote 140,760,000 2.31 Holdings Co Ltd 287,000 JPY Hitachi Ltd 230,461,000 3.78 141,600 JPY ITOCHU Corp 178,982,400 2.93 33,600 JPY Japan Tobacco Inc 108,595,200 1.78 24,900 JPY KDDI Corp 154,404,900 2.53 61,700 JPY Maeda Kosen Co Ltd 89,465,000 1.47 188,000 JPY Makino Milling 148,708,000 2.44 Machine Co Ltd 29,100 JPY Makita Corp 164,706,000 2.70 352,500 JPY Mitsubishi UFJ 206,917,500 3.39 Financial Group Inc 74,000 JPY Mitsui Fudosan Co 223,998,000 3.67 Ltd 135,000 JPY NGK Spark Plug Co 309,150,000 5.07 Ltd 12,500 JPY Nidec Corp 156,125,000 2.56 87,200 JPY Nikkiso Co Ltd 112,575,200 1.84 128,000 JPY Nippon Shokubai Co 158,208,000 2.59 Ltd 397,000 JPY Nippon Steel & 117,909,000 1.93 Sumitomo Metal Corp 75,800 JPY ORIX Corp 113,700,000 1.86 10,700 JPY Pigeon Corp 49,006,000 0.80 209,000 JPY Sanken Electric Co 148,390,000 2.43 Ltd 273,000 JPY Sankyu Inc 122,304,000 2.00 76,000 JPY SCSK Corp 232,940,000 3.82 30,200 JPY Ship Healthcare 109,777,000 1.80 Holdings Inc 10,600 JPY SMC Corp/Japan 273,639,000 4.48 95,200 JPY Sumitomo Electric 148,131,200 2.43 Industries Ltd 83,100 JPY Sumitomo Mitsui 377,274,000 6.18 Financial Group Inc 34,800 JPY Sundrug Co Ltd 142,506,000 2.34 300,000 JPY Taisei Corp 135,900,000 2.23 71,500 JPY Toyota Motor Corp 417,488,500 6.84 235,400 JPY Yahoo Japan Corp 151,833,000 2.49 74,200 JPY Yamaha Motor Co 109,222,400 1.79 Ltd Total - Japan 5,970,017,500 97.84 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 5,970,017,500 97.84 5,970,017,500 97.84 5,970,017,500 97.84 * Any deviations of the percentages of the net assets are due to rounding. 66
Vontobel Fund - China Stars Equity Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 142,504,332 148,730,192 Cash at banks 2,123,358 Receivable from foreign currencies 251,224 Receivable from subscriptions 88,753 Interest and dividends receivable 58,677 Receivable for investments sold 1,261,218 (9) Options contracts at market value 66 Total Assets 152,513,488 Liabilities Bank overdraft 176,598 Payable for redemptions 1,059,348 Payable on foreign currencies 251,263 (9) Unrealised loss on options 66 Audit fees, printing and publishing expenses 2,815 (5) Service Fee payable 37,913 (4) Subscription Tax payable 10,289 (3) Management Fee payable 186,294 Other liabilities 11,860 Total Liabilities 1,736,446 Total net assets at the end of the period 150,777,042 Net assets at the beginning of the period 72,027,235 Net investment loss on investments -612,661 Change in unrealised appreciation/depreciation on: Investments 65,729 Options 66 Net realised gain/loss on investments 520,630 Net realised gain/loss on currency exchange -38,499 Increase/Decrease in net assets resulting from operations -64,735 Subscriptions of shares 129,985,749 Redemptions of shares -51,024,010 (11) Dividend distribution -147,197 Total net assets at the end of the period 150,777,042 Income Net dividends 627,444 Other income 24,691 Total income 652,135 (3) Expenses Management Fees 993,916 Audit fees, printing and publishing expenses 5,619 (4) Subscription tax 30,656 Bank interest 2,184 (5) Service Fees 207,751 (12) Securities Lending Fees 8,177 (8) Other Fees payable 16,493 Total Expenses 1,264,796 Net investment loss on investments -612,661 67
Vontobel Fund - China Stars Equity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Bermuda Islands 1,884,000 HKD Brilliance China Automotive Holdings Ltd 2,864,357 1.90 1,829,000 HKD Haier Electronics 5,420,081 3.59 Group Co Ltd Total - Bermuda Islands 8,284,437 5.49 Cayman Islands 499,762 HKD AAC Technologies Holdings Inc 2,273,014 1.51 5,155,000 HKD China Lesso Group 3,095,129 2.05 Holdings Ltd 4,933,000 HKD Country Garden 2,548,706 1.69 Holdings Co Ltd 3,384,000 HKD Lee & Man Paper 2,018,717 1.34 Manufacturing Ltd 270,400 HKD MGM China 1,153,185 0.76 Holdings Ltd 657,600 HKD Sands China Ltd 5,503,072 3.65 3,661,000 HKD Sino 3,405,659 2.26 Biopharmaceutical Ltd 3,099,000 HKD Sunny Optical 2,954,728 1.96 Technology Group Co Ltd 187,000 HKD Tencent Holdings Ltd 14,998,408 9.95 414,000 HKD Wynn Macau Ltd 1,989,635 1.32 42,100 NetEase Inc ADR 2,892,270 1.92 Total - Cayman Islands 42,832,522 28.41 Hong Kong 2,390,000 HKD China Everbright International Ltd 3,498,166 2.32 1,740,000 HKD China Overseas Land 4,674,331 3.10 & Investment Ltd 1,586,000 HKD China Resources 3,825,368 2.54 Power Holdings Co Ltd 9,832,000 HKD Franshion Properties 3,078,310 2.04 China Ltd 2,728,000 HKD Guangdong 2,840,010 1.88 Investment Ltd 4,558,000 HKD Lenovo Group Ltd 4,862,603 3.23 Total - Hong Kong 22,778,789 15.11 Virgin Islands 89,700 Hollysys Automation Technologies Ltd 1,788,618 1.19 Total - Virgin Islands 1,788,618 1.19 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 148,730,192 98.64 148,730,192 98.64 148,730,192 98.64 China 1,296,000 HKD Anhui Conch Cement Co Ltd 4,725,586 3.13 10,150,000 HKD Bank of China Ltd 4,263,319 2.83 4,540,000 HKD BBMG Corp 3,386,871 2.25 846,000 HKD China 395,677 0.26 Communications Services Corp Ltd 19,822,000 HKD China Construction 13,638,070 9.05 Bank Corp 1,582,000 HKD China Life Insurance 4,626,968 3.07 Co Ltd 1,164,800 HKD China Pacific 3,999,565 2.65 Insurance Group Co Ltd 2,727,100 HKD China Vanke Co Ltd 4,040,760 2.68 963,500 HKD Great Wall Motor Co 4,394,598 2.91 Ltd 19,833,000 HKD Industrial & 11,907,992 7.90 Commercial Bank of China Ltd 674,000 HKD PICC Property & 920,513 0.61 Casualty Co Ltd 1,066,500 HKD Ping An Insurance 8,663,835 5.75 Group Co of China Ltd 1,412,000 HKD Zhuzhou CSR Times 4,484,519 2.97 Electric Co Ltd 100,800 Mindray Medical International Ltd ADR 3,597,552 2.39 Total - China 73,045,825 48.45 * Any deviations of the percentages of the net assets are due to rounding. 68
Vontobel Fund - European Equity Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 294,756,001 351,071,337 Cash at banks 7,932,236 Receivable from foreign currencies 881,536 Receivable from subscriptions 204,088 Interest and dividends receivable 463,891 Receivable for investments sold 1,028,141 Other assets Total Assets 113,068 361,694,297 Liabilities Bank overdraft 1 Payable for redemptions 261,927 Payable for investments purchased 4,625,093 Payable on foreign currencies 879,948 (9) Unrealised loss on forward foreign exchange contracts 21,742 Audit fees, printing and publishing expenses 8,534 (5) Service Fee payable 82,364 (4) Subscription Tax payable 15,978 (3) Management Fee payable 322,766 Other liabilities 10,580 Total Liabilities 6,228,933 Total net assets at the end of the period 355,465,364 Net assets at the beginning of the period 428,273,554 Net investment loss on investments -996,852 Change in unrealised appreciation/depreciation on: Investments -289,670 Forward foreign exchange contracts -21,742 Net realised gain/loss on investments 18,233,051 Net realised gain/loss on currency exchange -2,036 Increase/Decrease in net assets resulting from operations 16,922,751 Subscriptions of shares 86,191,898 Redemptions of shares -175,879,696 (11) Dividend distribution -43,143 Total net assets at the end of the period 355,465,364 Income Net dividends 1,790,918 Other income 184,145 Total income 1,975,063 (3) Expenses Management Fees 2,278,190 Audit fees, printing and publishing expenses 24,494 (4) Subscription tax 47,720 Bank interest 1,381 (5) Service Fees 599,501 (8) Other Fees payable 20,629 Total Expenses 2,971,915 Net investment loss on investments -996,852 69
Vontobel Fund - European Equity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Belgium 117,092 Anheuser-Busch InBev NV 8,893,137 2.50 Total - Belgium 8,893,137 2.50 Denmark 431,215 DKK Novo Nordisk A/S 14,891,024 4.19 129,764 DKK Novozymes A/S 4,373,292 1.23 Total - Denmark 19,264,317 5.42 France 63,977 Air Liquide SA 6,382,346 1.80 526,438 Bureau Veritas SA 10,523,496 2.96 83,299 Essilor International 6,302,402 1.77 SA 14,251 Hermes International 3,327,609 0.94 59,440 L'Oreal SA 7,296,260 2.05 60,835 Legrand SA 2,733,317 0.77 62,800 Pernod Ricard SA 5,356,212 1.51 344,550 Zodiac Aerospace 8,815,312 2.48 Total - France 50,736,952 14.27 Germany 114,648 SAP AG 6,709,201 1.89 224,807 Wirecard AG 7,641,190 2.15 Total - Germany 14,350,391 4.04 Ireland 119,901 Paddy Power PLC 7,270,797 2.05 75,189 Accenture PLC 4,537,525 1.28 Total - Ireland 11,808,322 3.32 Italy 222,272 Luxottica Group SpA 8,933,112 2.51 Total - Italy 8,933,112 2.51 Jersey 47,535 GBP Randgold Resources Ltd 2,737,960 0.77 49,183 Randgold Resources Ltd ADR 2,814,629 0.79 Total - Jersey 5,552,588 1.56 Luxembourg 295,174 Reinet Investments SCA 4,554,535 1.28 Total - Luxembourg 4,554,535 1.28 South Africa 43,669 ZAR Naspers Ltd 3,822,912 1.08 Total - South Africa 3,822,912 1.08 Spain 187,559 Grifols SA 7,746,187 2.18 Total - Spain 7,746,187 2.18 Sweden 321,036 SEK Elekta AB 3,093,453 0.87 141,353 SEK Indutrade AB 4,889,021 1.38 136,515 SEK Svenska Handelsbanken AB 5,169,168 1.45 Total - Sweden 13,151,642 3.70 Switzerland 119,860 CHF Cie Financiere Richemont SA 8,630,986 2.43 118,793 CHF DKSH Holding AG 6,205,667 1.75 1,235 CHF Lindt & Spruengli AG 4,399,850 1.24 228,992 CHF Nestle SA 12,536,508 3.53 54,266 CHF Novartis AG 3,276,436 0.92 54,430 CHF Roche Holding AG 12,143,118 3.42 4,518 CHF SGS SA 8,092,552 2.28 1,148,399 CHF UBS AG 17,813,397 5.01 Total - Switzerland 73,098,512 20.56 United Kingdom 1,025,981 GBP Barratt Developments PLC 5,477,550 1.54 475,505 GBP British American 18,751,360 5.28 Tobacco PLC 337,756 GBP Countrywide PLC 2,516,319 0.71 494,050 GBP Diageo PLC 11,260,986 3.17 609,156 GBP Domino's Pizza 4,131,756 1.16 Group PLC 755,698 GBP Fresnillo PLC 8,724,718 2.45 43,714 GBP Intertek Group PLC 1,559,947 0.44 219,729 GBP Persimmon PLC 3,855,227 1.08 146,176 GBP Reckitt Benckiser 8,715,766 2.45 Group PLC 613,127 GBP Rolls-Royce Holdings 7,432,078 2.09 PLC 413,902 GBP SABMiller PLC 14,699,907 4.14 Total - United Kingdom 87,125,614 24.51 United States 249,100 Philip Morris International Inc 14,592,681 4.11 Total - United States 14,592,681 4.11 Netherlands 61,900 Airbus Group NV 3,304,841 0.93 495,204 Unilever NV 14,227,211 4.00 72,773 Core Laboratories NV 9,908,383 2.79 Total - Netherlands 27,440,435 7.72 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 351,071,337 98.76 351,071,337 98.76 351,071,337 98.76 * Any deviations of the percentages of the net assets are due to rounding. 70
Vontobel Fund - US Equity Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 1,333,338,971 1,630,919,146 Cash at banks Receivable from foreign currencies Receivable from subscriptions Interest and dividends receivable 18,700,628 778 2,757,523 1,765,078 Receivable for investments sold 11,271,590 (9) Unrealised gain on forward foreign exchange contracts Total Assets 1,306,266 1,666,721,009 Liabilities Bank overdraft 22 Payable for redemptions 8,320,958 Payable for investments purchased 17,406,241 Payable on foreign currencies 779 Audit fees, printing and publishing expenses 36,810 (5) Service Fee payable 381,588 (4) Subscription Tax payable 80,483 (3) Management Fee payable 1,543,934 Other liabilities 31,545 Total Liabilities 27,802,360 Total net assets at the end of the period 1,638,918,649 Net assets at the beginning of the period 1,569,337,979 Net investment loss on investments -3,066,945 Change in unrealised appreciation/depreciation on: Investments 136,556,407 Forward foreign exchange contracts 2,946,002 Net realised gain/loss on investments 91,389,709 Net realised gain/loss on forward foreign exchange contracts 3,132,775 Net realised gain/loss on currency exchange -72,705 Increase/Decrease in net assets resulting from operations 230,885,243 Subscriptions of shares 358,631,146 Redemptions of shares -519,791,747 (11) Dividend distribution -143,972 Total net assets at the end of the period 1,638,918,649 Income Net dividends 10,087,666 Other income 1,138 Total income 10,088,804 (3) Expenses Management Fees 10,141,217 Audit fees, printing and publishing expenses 99,013 (4) Subscription tax 250,830 (5) Service Fees 2,610,806 (8) Other Fees payable 53,883 Total Expenses 13,155,749 Net investment loss on investments -3,066,945 71
Vontobel Fund - US Equity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Ireland 588,122 Covidien PLC 42,315,378 2.58 Total - Ireland 42,315,378 2.58 United Kingdom 465,443 Diageo PLC ADR 58,510,840 3.57 Total - United Kingdom 58,510,840 3.57 United States 1,008,075 Air Lease Corp 37,248,371 2.27 1,585,789 Altria Group Inc 57,500,709 3.51 11,539 Amazon.com Inc 4,178,272 0.25 416,578 Bally Technologies 28,223,160 1.72 Inc 190 Berkshire Hathaway 33,004,520 2.01 Inc 79,175 Biogen Idec Inc 26,973,339 1.65 284,575 Capital One Financial 20,896,342 1.28 Corp 182,137 Celgene Corp 29,278,523 1.79 280,180 Chevron Corp 32,313,159 1.97 14,313 Chipotle Mexican 8,089,851 0.49 Grill Inc 332,578 Citigroup Inc 16,173,268 0.99 1,955,040 Coca-Cola Co 74,682,528 4.56 341,183 Cognizant 35,503,503 2.17 Technology Solutions Corp 396,825 First Republic 20,622,995 1.26 Bank/CA 54,509 Google Inc 66,263,866 4.04 90,336 Illumina Inc 15,491,721 0.95 427,725 Jack Henry & 24,863,654 1.52 Associates Inc 637,750 Johnson & Johnson 58,749,530 3.58 756,600 Las Vegas Sands 64,500,150 3.94 Corp 832,920 MasterCard Inc 64,734,542 3.95 253,238 McDonald's Corp 24,095,596 1.47 299,400 Mead Johnson 24,416,070 1.49 Nutrition Co 376,200 Motorola Solutions 24,904,440 1.52 Inc 1,190,601 Newmont Mining 27,693,379 1.69 Corp 913,236 Philip Morris 73,889,925 4.51 International Inc 92,700 Precision Castparts 23,905,476 1.46 Corp 34,100 priceline.com Inc 45,995,444 2.81 843,925 Reynolds American 42,896,708 2.62 Inc 419,287 Royal Gold Inc 28,809,210 1.76 279,400 Sempra Energy 26,394,918 1.61 333,500 Starbucks Corp 23,665,160 1.44 743,325 TJX Cos Inc 45,684,755 2.79 285,550 TransDigm Group Inc 50,867,877 3.10 884,606 Trimble Navigation 33,747,719 2.06 Ltd 1,866,800 Twenty-First Century Fox Inc 62,612,472 3.82 288,113 Visa Inc 65,096,251 3.97 444,250 Wal-Mart Stores Inc 33,185,475 2.02 222,058 Waters Corp 24,737,261 1.51 1,061,750 Wells Fargo & Co 49,286,435 3.01 473,516 Whole Foods 25,593,540 1.56 Inc 1,087,728 Zoetis Inc 33,741,323 2.06 Total - United States 1,510,511,436 92.17 Virgin Islands 199,750 Michael Kors Holdings Ltd 19,581,493 1.19 Total - Virgin Islands 19,581,493 1.19 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 1,630,919,146 99.51 1,630,919,146 99.51 1,630,919,146 99.51 * Any deviations of the percentages of the net assets are due to rounding. 72
Vontobel Fund - Global Equity Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 1,167,094,548 1,340,550,097 Cash at banks Receivable from foreign currencies Receivable from subscriptions Interest and dividends receivable 21,940,092 3,286,422 4,107,565 1,519,133 Receivable for investments sold 2,505,985 (9) Unrealised gain on forward foreign exchange contracts 2,287,474 Other assets Total Assets 65,636 1,376,262,404 Liabilities Bank overdraft 1,067 Payable for redemptions 6,218,794 Payable for investments purchased 10,480,914 Payable on foreign currencies 3,284,260 Audit fees, printing and publishing expenses 25,132 (5) Service Fee payable 311,146 (4) Subscription Tax payable 68,402 (3) Management Fee payable 1,289,515 Other liabilities 32,579 Total Liabilities 21,711,809 Total net assets at the end of the period 1,354,550,595 Net assets at the beginning of the period 1,317,915,261 Net investment loss on investments -3,740,285 Change in unrealised appreciation/depreciation on: Investments 148,337,130 Forward foreign exchange contracts 4,452,900 Net realised gain/loss on investments 20,860,510 Net realised gain/loss on forward foreign exchange contracts 4,228,899 Net realised gain/loss on currency exchange 320,293 Increase/Decrease in net assets resulting from operations 174,459,447 Subscriptions of shares 307,802,505 Redemptions of shares -445,548,982 (11) Dividend distribution -77,636 Total net assets at the end of the period 1,354,550,595 Income Bank interest 1,208 Net dividends 7,295,282 Other income 13,282 Total income 7,309,772 (3) Expenses Management Fees 8,414,490 Audit fees, printing and publishing expenses 76,367 (4) Subscription tax 207,547 Bank interest 2,131 (5) Service Fees 2,269,111 (8) Other Fees payable 80,411 Total Expenses 11,050,057 Net investment loss on investments -3,740,285 73
Vontobel Fund - Global Equity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Bermuda Islands 807,266 HKD Cheung Kong Infrastructure Holdings Ltd 5,263,180 0.39 Total - Bermuda Islands 5,263,180 0.39 Brazil 432,553 BRL Cielo SA 11,758,178 0.87 954,542 Itau Unibanco Holding SA ADR 12,714,499 0.94 Total - Brazil 24,472,677 1.81 Canada 164,310 CAD Alimentation Couche Tard Inc 12,952,426 0.96 461,740 CAD Enbridge Inc 19,521,594 1.44 969,149 CAD Goldcorp Inc 26,064,014 1.92 308,288 CAD Silver Wheaton Corp 7,867,685 0.58 Total - Canada 66,405,719 4.90 Cayman Islands 150,701 HKD Tencent Holdings Ltd 12,087,502 0.89 58,145 Baidu Inc ADR 9,938,725 0.73 Total - Cayman Islands 22,026,226 1.63 Denmark 687,070 DKK Novo Nordisk A/S 32,769,706 2.42 Total - Denmark 32,769,706 2.42 France 599,425 Bureau Veritas SA 16,549,638 1.22 Total - France 16,549,638 1.22 Hong Kong 935,739 HKD Galaxy Entertainment Group Ltd 9,386,299 0.69 Total - Hong Kong 9,386,299 0.69 India 3,350,907 INR HDFC Bank Ltd 36,200,942 2.67 2,497,677 INR Housing 33,015,759 2.44 Development Finance Corp 5,893,759 INR ITC Ltd 31,156,208 2.30 Total - India 100,372,909 7.41 Indonesia 38,404,966 IDR Telekomunikasi Indonesia Persero Tbk PT 7,691,574 0.57 Total - Indonesia 7,691,574 0.57 Ireland 164,043 Paddy Power PLC 13,739,083 1.01 309,853 Covidien PLC 22,293,923 1.65 Total - Ireland 36,033,006 2.66 Mexico 2,384,000 MXN Wal-Mart de Mexico SAB de CV 5,040,043 0.37 Total - Mexico 5,040,043 0.37 Netherlands 1,056,130 Unilever NV 41,907,703 3.09 Total - Netherlands 41,907,703 3.09 South Africa 96,921 ZAR Naspers Ltd 11,718,711 0.87 Total - South Africa 11,718,711 0.87 Spain 329,461 Grifols SA 18,792,948 1.39 Total - Spain 18,792,948 1.39 Switzerland 607,767 CHF Nestle SA 45,955,154 3.39 91,214 CHF Roche Holding AG 28,105,688 2.07 9,946 CHF SGS SA 24,605,294 1.82 2,369,942 CHF UBS AG 50,772,962 3.75 Total - Switzerland 149,439,098 11.03 Thailand 1,025,600 THB Advanced Info Service PCL 6,632,925 0.49 Total - Thailand 6,632,925 0.49 United Kingdom 1,326,217 GBP British American Tobacco PLC 72,232,575 5.33 641,749 GBP Diageo PLC 20,202,799 1.49 1,195,396 GBP Fresnillo PLC 19,061,441 1.41 548,304 GBP Persimmon PLC 13,286,936 0.98 206,504 GBP Reckitt Benckiser 17,005,866 1.26 Group PLC 391,011 GBP SABMiller PLC 19,179,922 1.42 Total - United Kingdom 160,969,540 11.88 United States 717,893 Altria Group Inc 26,030,800 1.92 18,593 Amazon.com Inc 6,732,525 0.50 69,600 Biogen Idec Inc 23,711,328 1.75 145,616 Celgene Corp 23,407,772 1.73 12,212 Chipotle Mexican 6,902,345 0.51 Grill Inc 970,292 Coca-Cola Co 37,065,154 2.74 240,460 Cognizant 25,022,268 1.85 Technology Solutions Corp 27,762 Google Inc 33,748,875 2.49 222,815 Johnson & Johnson 20,525,718 1.52 525,838 Las Vegas Sands 44,827,690 3.31 Corp 954,590 MasterCard Inc 74,190,735 5.48 742,426 Philip Morris 60,069,688 4.43 International Inc 24,834 priceline.com Inc 33,497,093 2.47 * Any deviations of the percentages of the net assets are due to rounding. 74
Vontobel Fund - Global Equity Portfolio as at February 28, 2014 383,692 TJX Cos Inc 23,581,710 1.74 94,414 TransDigm Group Inc 16,818,910 1.24 1,000,926 Twenty-First Century 33,571,058 2.48 Fox Inc 192,136 Visa Inc 43,411,208 3.20 921,406 Wells Fargo & Co 42,771,667 3.16 234,573 Whole Foods 12,678,671 0.94 Inc 806,385 Zoetis Inc 25,014,063 1.85 Total - United States 613,579,276 45.30 Virgin Islands 117,300 Michael Kors Holdings Ltd 11,498,919 0.85 Total - Virgin Islands 11,498,919 0.85 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 1,340,550,097 98.97 1,340,550,097 98.97 1,340,550,097 98.97 * Any deviations of the percentages of the net assets are due to rounding. 75
Vontobel Fund - Global Equity (ex-us) Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 84,114,983 106,641,956 Cash at banks Receivable from foreign currencies Receivable from subscriptions Interest and dividends receivable 2,605,949 1,572,635 83,211 120,857 Receivable for investments sold 1,434,078 (9) Unrealised gain on forward foreign exchange contracts 190,895 Other assets Total Assets 18,647 112,668,228 Liabilities Bank overdraft 16 Payable for redemptions 484,395 Payable for investments purchased 454,742 Payable on foreign currencies 1,584,299 Audit fees, printing and publishing expenses 2,475 (5) Service Fee payable 25,327 (4) Subscription Tax payable 7,859 (3) Management Fee payable 126,058 Other liabilities 15,382 Total Liabilities 2,700,553 Total net assets at the end of the period 109,967,675 Net assets at the beginning of the period 106,877,749 Net investment loss on investments -438,485 Change in unrealised appreciation/depreciation on: Investments 7,639,389 Forward foreign exchange contracts 401,168 Net realised gain/loss on investments 1,707,227 Net realised gain/loss on forward foreign exchange contracts 418,691 Net realised gain/loss on currency exchange -4,185 Increase/Decrease in net assets resulting from operations 9,723,805 Subscriptions of shares 8,505,617 Redemptions of shares -15,060,286 (11) Dividend distribution -79,210 Total net assets at the end of the period 109,967,675 Income Bank interest 111 Net dividends 534,709 Other income 96,151 Total income 630,971 (3) Expenses Management Fees 845,329 Audit fees, printing and publishing expenses 7,625 (4) Subscription tax 24,663 Bank interest 356 (5) Service Fees 178,730 (8) Other Fees payable 12,753 Total Expenses 1,069,456 Net investment loss on investments -438,485 76
Vontobel Fund - Global Equity (ex-us) Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Australia 18,544 AUD CSL Ltd 1,198,094 1.09 40,619 AUD Ramsay Health Care 1,753,787 1.59 Ltd Total - Australia 2,951,881 2.68 Bermuda Islands 73,188 HKD Cheung Kong Infrastructure Holdings Ltd 477,168 0.43 Total - Bermuda Islands 477,168 0.43 Brazil 36,342 BRL Cielo SA 987,892 0.90 58,036 Itau Unibanco Holding SA ADR 773,040 0.70 Total - Brazil 1,760,932 1.60 Canada 13,920 CAD Alimentation Couche Tard Inc 1,097,302 1.00 28,590 CAD Bank of Nova Scotia 1,635,411 1.49 50,375 CAD Enbridge Inc 2,129,771 1.94 91,492 CAD Goldcorp Inc 2,460,559 2.24 21,903 CAD Shaw 506,740 0.46 Communications Inc 30,413 CAD Silver Wheaton Corp 776,157 0.71 Total - Canada 8,605,941 7.83 Cayman Islands 212,241 HKD Sands China Ltd 1,774,823 1.61 12,241 HKD Tencent Holdings Ltd 981,832 0.89 4,749 Baidu Inc ADR 811,747 0.74 Total - Cayman Islands 3,568,402 3.24 Denmark 88,282 DKK Novo Nordisk A/S 4,210,597 3.83 Total - Denmark 4,210,597 3.83 France 98,296 Bureau Veritas SA 2,713,873 2.47 16,219 Essilor International 1,694,850 1.54 SA 2,508 Hermes International 808,826 0.74 10,504 L'Oreal SA 1,780,808 1.62 13,386 Legrand SA 830,669 0.76 14,917 Pernod Ricard SA 1,757,197 1.60 Total - France 9,586,223 8.72 Germany 19,052 SAP AG 1,539,876 1.40 Total - Germany 1,539,876 1.40 Hong Kong 75,980 HKD Galaxy Entertainment 762,147 0.69 Group Ltd 219,367 HKD Link REIT 1,017,548 0.93 Total - Hong Kong 1,779,695 1.62 India 291,623 INR HDFC Bank Ltd 3,150,498 2.86 72,425 INR Hindustan Unilever 641,801 0.58 Ltd 272,522 INR Housing 3,602,356 3.28 Development Finance Corp 525,493 INR ITC Ltd 2,777,916 2.53 Total - India 10,172,572 9.25 Indonesia 3,077,908 IDR Telekomunikasi Indonesia Persero Tbk PT 616,430 0.56 Total - Indonesia 616,430 0.56 Ireland 15,887 Paddy Power PLC 1,330,583 1.21 Total - Ireland 1,330,583 1.21 Italy 14,936 Luxottica Group SpA 829,074 0.75 Total - Italy 829,074 0.75 Japan 12,500 JPY Daito Trust Construction Co Ltd 1,159,188 1.05 Total - Japan 1,159,188 1.05 Luxembourg 291,352 HKD L'Occitane International SA 638,187 0.58 Total - Luxembourg 638,187 0.58 Mexico 432,300 MXN Wal-Mart de Mexico SAB de CV 913,931 0.83 Total - Mexico 913,931 0.83 Netherlands 119,768 Unilever NV 4,752,447 4.32 12,565 Core Laboratories NV 2,362,848 2.15 Total - Netherlands 7,115,295 6.47 South Africa 6,404 ZAR Naspers Ltd 774,307 0.70 Total - South Africa 774,307 0.70 Spain 28,546 Grifols SA 1,628,307 1.48 Total - Spain 1,628,307 1.48 * Any deviations of the percentages of the net assets are due to rounding. 77
Vontobel Fund - Global Equity (ex-us) Portfolio as at February 28, 2014 Sweden 52,104 SEK Elekta AB 693,429 0.63 Total - Sweden 693,429 0.63 Switzerland 10,870 CHF Cie Financiere Richemont SA 1,081,077 0.98 23,361 CHF DKSH Holding AG 1,685,504 1.53 508 CHF Lindt & Spruengli AG 2,499,629 2.27 69,394 CHF Nestle SA 5,247,096 4.77 8,645 CHF Roche Holding AG 2,663,776 2.42 1,261 CHF SGS SA 3,119,573 2.84 226,036 CHF UBS AG 4,842,531 4.40 Total - Switzerland 21,139,186 19.22 Thailand 81,500 THB Advanced Info Service PCL 527,090 0.48 Total - Thailand 527,090 0.48 United Kingdom 114,274 GBP Barratt Developments PLC 842,627 0.77 172,700 GBP British American 9,406,127 8.55 Tobacco PLC 124,032 GBP Diageo PLC 3,904,632 3.55 120,214 GBP Domino's Pizza 1,126,165 1.02 Group PLC 113,487 GBP Fresnillo PLC 1,809,631 1.65 2,955 GBP Intertek Group PLC 145,642 0.13 44,788 GBP Persimmon PLC 1,085,338 0.99 17,247 GBP Reckitt Benckiser 1,420,312 1.29 Group PLC 105,668 GBP Rolls-Royce Holdings 1,769,066 1.61 PLC 63,486 GBP SABMiller PLC 3,114,123 2.83 Total - United Kingdom 24,623,664 22.39 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 106,641,956 96.98 106,641,956 96.98 106,641,956 96.98 * Any deviations of the percentages of the net assets are due to rounding. 78
Vontobel Fund - Emerging s Equity Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 4,414,579,708 4,580,841,408 Cash at banks Receivable from foreign currencies Receivable from subscriptions Interest and dividends receivable 131,371,686 2,334,944 6,403,137 1,587,259 Receivable for investments sold 15,831,870 (9) Unrealised gain on forward foreign exchange contracts Total Assets 8,842,744 4,747,213,048 Liabilities Bank overdraft 763 Payable for redemptions 8,560,933 Payable for investments purchased 44,968,345 Payable on foreign currencies 2,339,989 Audit fees, printing and publishing expenses 106,954 (5) Service Fee payable 1,204,398 (4) Subscription Tax payable 179,416 (3) Management Fee payable 3,474,329 Other liabilities 110,342 Total Liabilities 60,945,469 Total net assets at the end of the period 4,686,267,579 Net assets at the beginning of the period 4,963,788,810 Net investment income 5,818,047 Change in unrealised appreciation/depreciation on: Investments 220,068,317 Forward foreign exchange contracts 17,601,506 Net realised gain/loss on investments -32,223,982 Net realised gain/loss on forward foreign exchange contracts 20,111,323 Net realised gain/loss on currency exchange -1,280,750 Increase/Decrease in net assets resulting from operations 230,094,461 Subscriptions of shares 861,076,384 Redemptions of shares -1,364,776,948 (11) Dividend distribution -3,915,128 Total net assets at the end of the period 4,686,267,579 Income Bank interest 16,834 Net interest on bonds 167 Net dividends 42,218,373 Other income 19,146 Total income 42,254,520 (3) Expenses Management Fees 25,968,882 Audit fees, printing and publishing expenses 293,900 (4) Subscription tax 642,979 Bank interest 3,089 (5) Service Fees 9,273,956 (8) Other Fees payable 253,667 Total Expenses 36,436,473 Net investment income 5,818,047 79
Vontobel Fund - Emerging s Equity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Brazil 16,000 BRL Vale SA 97 FRN 0.000% 31.12.2099 65,068 0.00 Total - Brazil 65,068 0.00 Total - Bonds * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 80 65,068 0.00 Shares Bermuda Islands 2,317,044 BRL Grupo BTG Pactual 27,068,537 0.58 2,182,410 Dairy Farm International Holdings Ltd 20,056,348 0.43 Total - Bermuda Islands 47,124,885 1.01 Brazil 2,493,322 BRL BB Seguridade Participacoes SA 24,869,168 0.53 22,130,650 BRL BM&FBovespa SA 95,400,490 2.04 402,700 BRL CCR SA 2,772,009 0.06 3,390,300 BRL Cielo SA 92,159,227 1.97 1,127,741 BRL CPFL Energia SA 8,110,462 0.17 131,398 BRL Itausa - 123,748 0.00 Investimentos Itau SA 8,557,600 BRL Itausa - 31,101,880 0.66 Investimentos Itau SA 7,366,423 BRL Souza Cruz SA 64,140,829 1.37 1,005,172 BRL Totvs SA 13,924,380 0.30 450,645 BRL Ultrapar 10,060,414 0.21 Participacoes SA 17,873,756 AMBEV SA ADR 128,691,043 2.75 1,416,008 Itau Unibanco Holding SA ADR 18,861,227 0.40 Total - Brazil 490,214,877 10.46 Cayman Islands 17,623,038 HKD Sands China Ltd 147,369,132 3.14 1,013,613 HKD Tencent Holdings Ltd 81,300,381 1.73 398,004 Baidu Inc ADR 68,030,824 1.45 272,144 Bitauto Holdings Ltd 10,885,760 0.23 ADR 264,292 NetEase Inc ADR 18,281,078 0.39 291,200 SouFun Holdings Ltd ADR 22,940,736 0.49 Total - Cayman Islands 348,807,911 7.44 China 5,864,798 HKD Tsingtao Brewery Co Ltd 44,093,540 0.94 Total - China 44,093,540 0.94 Hong Kong 4,439,300 HKD Galaxy Entertainment Group Ltd 44,530,151 0.95 11,810,759 HKD Link REIT 54,784,962 1.17 17,121,393 HKD Power Assets Holdings Ltd 143,063,923 3.05 Total - Hong Kong 242,379,035 5.17 India 4,277,249 INR Asian Paints Ltd 32,641,321 0.70 1,850,222 INR Axis Bank Ltd 37,823,320 0.81 8,716,775 INR Cipla Ltd/India 54,046,587 1.15 1,022,319 INR Colgate-Palmolive 21,665,818 0.46 India Ltd 1,799,562 INR Havells India Ltd 22,321,442 0.48 11,561,219 INR HDFC Bank Ltd 124,899,622 2.67 14,092,281 INR Hindustan Unilever 124,880,150 2.66 Ltd 15,014,057 INR Housing 198,464,607 4.24 Development Finance Corp 39,019,380 INR ITC Ltd 206,268,347 4.40 3,232,475 INR Kotak Mahindra 35,698,559 0.76 Bank Ltd 545,421 INR Nestle India Ltd 42,806,736 0.91 10,151,753 INR Sun Pharmaceutical 105,594,370 2.25 Industries Ltd 1,293,115 INR Tata Consultancy 47,479,239 1.01 Services Ltd 335,389 INR United Spirits Ltd 12,917,806 0.28 1,772,100 INR Westlife 10,507,215 0.22 Development Ltd 3,503,092 INR Zee Entertainment 15,186,625 0.32 Enterprises Ltd 1,678,439 HDFC Bank Ltd ADR 56,378,766 1.20 Total - India 1,149,580,531 24.53 Indonesia 51,809,081 IDR Bank Central Asia Tbk PT 45,632,480 0.97 22,643,011 IDR Semen Indonesia 29,257,035 0.62 Persero Tbk PT 241,991,635 IDR Telekomunikasi 48,464,996 1.03 Indonesia Persero Tbk PT 20,544,817 IDR Unilever Indonesia Tbk PT 50,570,050 1.08 Total - Indonesia 173,924,560 3.71 Jersey 467,510 GBP Randgold Resources Ltd 37,191,636 0.79 439,965 Randgold Resources Ltd ADR 34,774,834 0.74 Total - Jersey 71,966,469 1.54 Korea, Republic Of 1,166,310 KRW Kangwon Land Inc 34,861,356 0.74 106,858 KRW LG Household & 45,757,557 0.98 Health Care Ltd 55,550 KRW Orion Corp/Republic of Korea 46,480,963 0.99 Total - Korea, Republic Of 127,099,876 2.71 Malaysia 1,497,890 MYR British American Tobacco Malaysia Bhd 27,429,721 0.59
Vontobel Fund - Emerging s Equity Portfolio as at February 28, 2014 41,489,200 MYR Genting Malaysia 55,082,614 1.18 Bhd 24,422,453 MYR Malayan Banking 72,898,461 1.56 Bhd 12,326,400 MYR Public Bank Bhd 71,780,230 1.53 Total - Malaysia 227,191,026 4.85 Mexico 1,524,817 MXN Coca-Cola Femsa SAB de CV 14,689,409 0.31 1,052,776 MXN Grupo Financiero 6,824,113 0.15 Banorte SAB de CV 2,835,230 MXN Industrias Penoles 68,571,289 1.46 SAB de CV 737,664 MXN Promotora y 9,551,964 0.20 Operadora de Infraestructura SAB de CV 62,233,291 MXN Wal-Mart de Mexico 131,568,147 2.81 SAB de CV 189,964 Coca-Cola Femsa 18,420,809 0.39 SAB de CV ADR 1,212,693 Fomento Economico 103,830,775 2.22 Mexicano SAB de CV ADR 5,429,498 Grupo Financiero 59,941,658 1.28 Santander Mexico SAB de CV ADR 2,404,597 Grupo Televisa SAB ADR 70,719,198 1.51 Total - Mexico 484,117,362 10.33 Netherlands 2,126,901 Yandex NV 79,758,788 1.70 Total - Netherlands 79,758,788 1.70 Philippines 1,790,460 PHP SM Investments Corp 27,838,745 0.59 Total - Philippines 27,838,745 0.59 Singapore 4,925,869 SGD DBS Group Holdings Ltd 64,242,019 1.37 Total - Singapore 64,242,019 1.37 1,516,400 THB Bangkok Dusit 5,949,335 0.13 Medical Services PCL 50,651,900 THB CP ALL PCL 60,936,857 1.30 10,406,114 THB Kasikornbank PCL 55,179,699 1.18 Total - Thailand 255,003,066 5.44 Turkey 600,021 TRY Coca-Cola Icecek AS 11,617,334 0.25 Total - Turkey 11,617,334 0.25 United Kingdom 23,002 GBP British American Tobacco PLC 1,252,807 0.03 5,512,056 ZAR BRITISH AMERICAN 298,470,704 6.37 TOBACCO (25P) 4,625,600 ZAR SABMILLER PLC 223,823,478 4.78 Total - United Kingdom 523,546,989 11.17 Virgin Islands 700,464 Mail.ru Group Ltd 29,594,604 0.63 Total - Virgin Islands 29,594,604 0.63 Total - Shares Total - Transferable securities admitted to an official exchange 4,580,776,340 97.75 4,580,841,408 97.75 Transferable securities and money market instruments dealt in on another regulated market Shares Bermuda Islands 2,739,900 HKD PEACE MARK (HOLDINGS) LIMITED ** 0 0.00 Total - Bermuda Islands 0 0.00 Total - Shares Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 0 0 0.00 0.00 4,580,841,408 97.75 South Africa 2,540,051 ZAR MTN Group Ltd 46,560,165 0.99 520,312 ZAR Naspers Ltd 62,910,884 1.34 4,086,016 ZAR Remgro Ltd 70,710,262 1.51 Total - South Africa 180,181,311 3.84 Taiwan 401,843 TWD President Chain Store Corp 2,493,412 0.05 Total - Taiwan 2,493,412 0.05 Thailand 117,648,400 SGD Thai Beverage PCL 52,011,614 1.11 4,024,400 THB Advanced Info 26,027,248 0.56 Service PCL 10,443,600 THB Bangkok Bank PCL 54,898,313 1.17 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 81
Vontobel Fund - Far East Equity Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 519,818,705 649,858,640 Cash at banks Receivable from foreign currencies Receivable from subscriptions Interest and dividends receivable 11,647,460 2,379,432 226,497 319,231 Receivable for investments sold 404,633 Receivable for forward foreign exchange contracts 56,905 Other assets Total Assets 955,940 665,848,738 Liabilities Payable for redemptions 498,871 Payable for investments purchased 3,656,033 Payable on foreign currencies 2,378,140 (9) Unrealised loss on forward foreign exchange contracts 24,340 Audit fees, printing and publishing expenses 15,282 (5) Service Fee payable 160,810 (4) Subscription Tax payable 33,046 (3) Management Fee payable 628,943 Other liabilities 117,739 Total Liabilities 7,513,204 Total net assets at the end of the period 658,335,534 Net assets at the beginning of the period 669,517,163 Net investment loss on investments -1,674,798 Change in unrealised appreciation/depreciation on: Investments 60,658,096 Forward foreign exchange contracts 109,236 Net realised gain/loss on investments -3,779,064 Net realised gain/loss on forward foreign exchange contracts 316,091 Net realised gain/loss on currency exchange -250,346 Increase/Decrease in net assets resulting from operations 55,379,215 Subscriptions of shares 86,482,371 Redemptions of shares -152,911,581 (11) Dividend distribution -131,634 Total net assets at the end of the period 658,335,534 Income Bank interest 142 Net dividends 3,882,776 Other income 130,632 Total income 4,013,550 (3) Expenses Management Fees 4,344,607 Audit fees, printing and publishing expenses 39,792 (4) Subscription tax 124,746 Bank interest 575 (5) Service Fees 1,130,217 (8) Other Fees payable 48,411 Total Expenses 5,688,348 Net investment loss on investments -1,674,798 82
Vontobel Fund - Far East Equity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Australia 199,902 AUD CSL Ltd 12,934,065 1.96 231,211 AUD Ramsay Health Care 9,997,387 1.52 Ltd 555,056 AUD Super Retail Group Ltd 5,491,444 0.83 Total - Australia 28,422,897 4.32 Bangladesh 691,850 BDT British American Tobacco Bangladesh Co Ltd 20,589,269 3.13 5,476,253 BDT Delta Brac Housing Finance Corp Ltd 4,790,384 0.73 Total - Bangladesh 25,379,653 3.86 Bermuda Islands 944,968 Dairy Farm International Holdings Ltd 8,665,357 1.32 120,302 Jardine Matheson Holdings Ltd 6,652,701 1.01 Total - Bermuda Islands 15,318,057 2.33 Cayman Islands 6,432,443 HKD SA SA International Holdings Ltd 6,008,667 0.91 2,673,623 HKD Sands China Ltd 22,373,994 3.40 204,066 HKD Tencent Holdings Ltd 16,367,193 2.49 50,300 Baidu Inc ADR 8,999,676 1.37 219,400 Bitauto Holdings Ltd 8,800,134 1.34 ADR 258,800 E-House China 3,266,056 0.50 Holdings Ltd ADR 86,575 NetEase Inc ADR 5,947,703 0.90 61,000 SouFun Holdings Ltd ADR 4,728,720 0.72 Total - Cayman Islands 76,492,143 11.62 China 1,511,172 HKD Tsingtao Brewery Co Ltd 11,292,916 1.72 Total - China 11,292,916 1.72 Hong Kong 875,882 HKD Galaxy Entertainment Group Ltd 8,779,897 1.33 2,405,702 HKD Link REIT 11,158,570 1.69 2,261,052 HKD Power Assets Holdings Ltd 18,892,296 2.87 Total - Hong Kong 38,830,762 5.90 India 589,007 INR Asian Paints Ltd 4,491,873 0.68 426,472 INR Axis Bank Ltd 8,712,246 1.32 1,179,969 INR Cipla Ltd/India 7,311,169 1.11 225,500 INR Colgate-Palmolive 4,775,722 0.73 India Ltd 856,477 INR Emami Ltd 6,397,009 0.97 97,864 INR Gillette India Ltd 3,061,209 0.46 436,715 INR Glenmark 4,010,994 0.61 Pharmaceuticals Ltd 682,962 INR Havells India Ltd 8,465,562 1.29 2,552,003 INR HDFC Bank Ltd 27,551,324 4.18 2,033,314 INR Hindustan Unilever 18,006,130 2.74 Ltd 2,162,985 INR Housing 28,572,110 4.34 Development Finance Corp 6,038,546 INR ITC Ltd 31,899,833 4.85 510,562 INR Kotak Mahindra 5,634,661 0.86 Bank Ltd 194,172 INR Nestle India Ltd 15,228,975 2.31 1,185,398 INR Sun Pharmaceutical 12,321,617 1.87 Industries Ltd 283,227 INR Tata Consultancy 10,392,142 1.58 Services Ltd 64,805 INR United Spirits Ltd 2,494,321 0.38 1,068,588 INR Westlife 6,331,600 0.96 Development Ltd 863,340 INR Zee Entertainment Enterprises Ltd 3,740,205 0.57 Total - India 209,398,701 31.81 Indonesia 8,770,546 IDR Bank Central Asia Tbk PT 7,721,348 1.17 73,624,051 IDR Kalbe Farma Tbk PT 9,191,595 1.40 6,072,748 IDR Matahari 7,320,090 1.11 Department Store Tbk PT 4,593,846 IDR Semen Indonesia 5,932,952 0.90 Persero Tbk PT 47,182,425 IDR Telekomunikasi 9,445,096 1.43 Indonesia Persero Tbk PT 4,084,395 IDR Unilever Indonesia Tbk PT 10,048,868 1.53 Total - Indonesia 49,659,948 7.54 Korea, Republic Of 201,600 KRW Kangwon Land Inc 6,025,884 0.92 20,619 KRW LG Household & 8,829,241 1.34 Health Care Ltd 6,537 KRW Orion Corp/Republic of Korea 5,469,776 0.83 Total - Korea, Republic Of 20,324,902 3.09 Luxembourg 3,772,660 HKD L'Occitane International SA 8,282,882 1.26 Total - Luxembourg 8,282,882 1.26 Malaysia 217,800 MYR British American Tobacco Malaysia Bhd 3,985,361 0.61 7,823,900 MYR Genting Malaysia 10,379,372 1.58 Bhd 2,896,509 MYR Guinness Anchor Bhd 12,896,928 1.96 4,001,941 MYR Malayan Banking 11,936,255 1.81 Bhd 537,500 MYR Nestle Malaysia Bhd 10,949,984 1.66 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 83
Vontobel Fund - Far East Equity Portfolio as at February 28, 2014 1,160,300 MYR Public Bank Bhd 6,751,608 1.03 Total - Malaysia 56,899,508 8.64 Philippines 1,279,760 PHP Jollibee Foods Corp 4,898,929 0.74 5,997,300 PHP Puregold Price Club 6,269,735 0.95 Inc 3,114,260 PHP Robinsons Retail 4,660,503 0.71 Holdings Inc 288,815 PHP SM Investments Corp 4,486,996 0.68 Total - Philippines 20,316,163 3.09 Pakistan 124,124 PKR Nestle Pakistan Ltd 11,442,260 1.74 Total - Pakistan 11,442,260 1.74 Total - Shares Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 11,442,260 11,442,260 1.74 1.74 649,858,640 98.71 Singapore 726,622 SGD DBS Group Holdings Ltd 9,471,943 1.44 Total - Singapore 9,471,943 1.44 Sri Lanka 2,399,538 LKR John Keells Holdings PLC 4,103,786 0.62 Total - Sri Lanka 4,103,786 0.62 Taiwan 1,336,500 TWD President Chain Store Corp 8,286,621 1.26 Total - Taiwan 8,286,621 1.26 Thailand 16,903,300 SGD Thai Beverage PCL 7,469,302 1.13 788,300 THB Advanced Info 5,094,395 0.77 Service PCL 1,714,300 THB Bangkok Bank PCL 9,004,707 1.37 5,331,600 THB BEC World PCL 8,246,460 1.25 13,791,000 THB CP ALL PCL 16,578,837 2.52 1,800,800 THB Kasikornbank PCL 9,541,798 1.45 Total - Thailand 55,935,499 8.50 Total - Shares Total - Transferable securities admitted to an official exchange 638,416,379 96.97 638,416,379 96.97 Transferable securities and money market instruments dealt in on another regulated market Shares Bermuda Islands 5,700,500 HKD PEACE MARK (HOLDINGS) LIMITED ** 0 0.00 Total - Bermuda Islands 0 0.00 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 84
Vontobel Fund - New Power Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 186,124,817 230,844,123 Cash at banks 8,936,130 Receivable from foreign currencies 700,346 Receivable from subscriptions 495,712 Interest and dividends receivable 98,410 Receivable for investments sold 2,243,774 Other assets Total Assets 13,714 243,332,209 Liabilities Payable for redemptions 2,337,331 Payable for investments purchased 4,855,926 Payable on foreign currencies 701,544 (9) Unrealised loss on forward foreign exchange contracts 20,951 Audit fees, printing and publishing expenses 4,134 (5) Service Fee payable 55,815 (4) Subscription Tax payable 16,653 (3) Management Fee payable 269,491 Other liabilities 12,048 Total Liabilities 8,273,893 Total net assets at the end of the period 235,058,316 Net assets at the beginning of the period 149,027,781 Net investment loss on investments -748,529 Change in unrealised appreciation/depreciation on: Investments 21,638,488 Forward foreign exchange contracts -63,466 Net realised gain/loss on investments 4,189,221 Net realised gain/loss on forward foreign exchange contracts -5,634 Net realised gain/loss on currency exchange -200,637 Increase/Decrease in net assets resulting from operations 24,809,443 Subscriptions of shares 103,372,337 Redemptions of shares -42,038,368 (11) Dividend distribution -112,877 Total net assets at the end of the period 235,058,316 Income Bank interest 403 Net dividends 866,643 Other income 215,018 Total income 1,082,064 (3) Expenses Management Fees 1,401,778 Audit fees, printing and publishing expenses 12,331 (4) Subscription tax 43,380 Bank interest 1,001 (5) Service Fees 292,765 (12) Securities Lending Fees 39,797 (8) Other Fees payable 39,541 Total Expenses 1,830,593 Net investment loss on investments -748,529 85
Vontobel Fund - New Power Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Belgium 62,732 Umicore SA 2,234,514 0.95 Total - Belgium 2,234,514 0.95 Bermuda Islands 968,500 HKD China Resources Gas Group Ltd 2,466,621 1.05 3,100,000 HKD China Singyes Solar 2,727,179 1.16 Technologies Holdings Ltd 90,000 Seadrill Ltd 2,408,428 1.02 Total - Bermuda Islands 7,602,228 3.23 Brazil 456,942 Cia Energetica de Minas Gerais ADR 1,915,573 0.81 Total - Brazil 1,915,573 0.81 Canada 155,000 CAD Peyto Exploration & Development Corp 3,659,906 1.56 255,000 Canadian Solar Inc 7,724,867 3.29 Total - Canada 11,384,773 4.84 Cayman Islands 9,000,000 HKD GCL-Poly Energy Holdings Ltd 2,451,690 1.04 Total - Cayman Islands 2,451,690 1.04 China 5,159,272 HKD China Longyuan Power Group Corp 4,456,969 1.90 8,400,000 HKD China Suntien Green 2,578,193 1.10 Energy Corp Ltd 8,400,000 HKD Huaneng 2,656,557 1.13 Renewables Corp Ltd 2,631,200 HKD Xinjiang Goldwind Science & Technology Co Ltd 2,138,022 0.91 Total - China 11,829,741 5.03 Denmark 360,000 DKK Vestas Wind Systems A/S 9,426,346 4.01 Total - Denmark 9,426,346 4.01 France 125,095 Schneider Electric SA 8,099,901 3.45 Total - France 8,099,901 3.45 Germany 46,000 Continental AG 8,112,100 3.45 70,000 OSRAM Licht AG 3,447,850 1.47 500,000 PNE Wind AG 1,309,000 0.56 140,498 PSI AG Gesellschaft Fuer Produkte und Systeme der Informationstechnolo gie 2,002,097 0.85 55,010 Siemens AG 5,322,768 2.26 Total - Germany 20,193,814 8.59 Hong Kong 321,600 HKD Beijing Enterprises Holdings Ltd 2,232,180 0.95 Total - Hong Kong 2,232,180 0.95 Ireland 114,470 Ingersoll-Rand PLC 5,067,296 2.16 Total - Ireland 5,067,296 2.16 Italy 416,604 Prysmian SpA 7,807,159 3.32 1,150,314 Snam SpA 4,743,895 2.02 1,941,974 Terna Rete Elettrica Nazionale SpA 7,185,304 3.06 Total - Italy 19,736,358 8.40 Japan 135,000 JPY Denso Corp 5,209,728 2.22 341,810 JPY Inpex Corp 3,127,929 1.33 441,350 JPY Mitsubishi Electric Corp 3,772,703 1.61 Total - Japan 12,110,360 5.15 Korea, Republic Of 35,000 KRW Cheil Industries Inc 1,636,010 0.70 Total - Korea, Republic Of 1,636,010 0.70 Spain 400,000 EDP Renovaveis SA 1,872,400 0.80 399,999 Gamesa Corp Tecnologica SA 3,264,792 1.39 Total - Spain 5,137,192 2.19 Switzerland 170,000 CHF ABB Ltd 3,142,827 1.34 237,000 CHF Meyer Burger Technology AG 3,243,729 1.38 Total - Switzerland 6,386,556 2.72 Taiwan 1,900,000 TWD Epistar Corp 3,232,753 1.38 Total - Taiwan 3,232,753 1.38 United Kingdom 220,000 GBP BG Group PLC 2,905,664 1.24 736,711 GBP Ophir Energy PLC 2,853,346 1.21 Total - United Kingdom 5,759,010 2.45 United States 207,543 AMETEK Inc 8,000,282 3.40 78,000 Archer-Daniels- 2,292,872 0.98 Midland Co 147,316 Cabot Oil & Gas 3,733,164 1.59 Corp 178,839 Cisco Systems Inc 2,822,786 1.20 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 86
Vontobel Fund - New Power Portfolio as at February 28, 2014 149,130 Cobalt International 2,081,763 0.89 Energy Inc 130,000 First Solar Inc 5,371,683 2.29 115,000 Flotek Industries Inc 2,119,067 0.90 62,400 ICF International Inc 1,826,165 0.78 203,475 KBR Inc 4,069,058 1.73 210,000 MasTec Inc 6,224,813 2.65 300,000 Newpark Resources 2,415,378 1.03 Inc 107,759 NextEra Energy Inc 7,130,359 3.03 26,086 Pattern Energy 517,508 0.22 Group Inc 70,000 Polypore 1,754,118 0.75 International Inc 125,000 Power Integrations 5,351,519 2.28 Inc 250,000 GBP Protonex Technology 0 0.00 ** 430,000 Quanta Services Inc 10,962,097 4.66 72,324 Roper Industries Inc 7,101,749 3.02 70,000 SunPower Corp 1,679,108 0.71 51,721 United Technologies 4,382,139 1.86 Corp 100,000 WESCO International 6,241,900 2.66 Inc 210,000 Xcel Energy Inc 4,605,510 1.96 Total - United States 90,683,037 38.58 Virgin Islands 180,000 Hollysys Automation Technologies Ltd 2,633,892 1.12 Total - Virgin Islands 2,633,892 1.12 Total - Shares Total - Transferable securities admitted to an official exchange 229,753,224 97.74 229,753,224 97.74 Transferable securities and money market instruments dealt in on another regulated market Shares Korea, Republic Of 40,000 KRW SFA Engineering Corp 1,090,900 0.46 Total - Korea, Republic Of 1,090,900 0.46 Total - Shares Total - Transferable securities and money market instruments dealt in on another regulated market 1,090,900 1,090,900 0.46 0.46 Total - Investment in securities 230,844,123 98.21 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 87
Vontobel Fund - Clean Technology Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 28,373,346 37,732,023 Cash at banks 496,348 Receivable from subscriptions 117,843 Interest and dividends receivable 16,198 Receivable for investments sold 868,505 Other assets Total Assets 4,737 39,235,654 Liabilities Payable for redemptions 10,822 Payable for investments purchased 557,862 Audit fees, printing and publishing expenses 654 (5) Service Fee payable 8,823 (4) Subscription Tax payable 2,307 (3) Management Fee payable 38,596 Other liabilities 9,664 Total Liabilities 628,728 Total net assets at the end of the period 38,606,926 Net assets at the beginning of the period 22,776,159 Net investment loss on investments -147,778 Change in unrealised appreciation/depreciation on: Investments 3,071,578 Net realised gain/loss on investments 1,807,164 Net realised gain/loss on currency exchange -18,572 Increase/Decrease in net assets resulting from operations 4,712,392 Subscriptions of shares 21,304,359 Redemptions of shares -10,182,418 (11) Dividend distribution -3,566 Total net assets at the end of the period 38,606,926 Income Bank interest 140 Net dividends 129,375 Other income 7,434 Total income 136,949 (3) Expenses Management Fees 208,551 Audit fees, printing and publishing expenses 2,198 (4) Subscription tax 6,267 Bank interest 253 (5) Service Fees 45,407 (12) Securities Lending Fees 1,032 (8) Other Fees payable 21,019 Total Expenses 284,727 Net investment loss on investments -147,778 88
Vontobel Fund - Clean Technology Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Austria 12,690 Andritz AG 577,839 1.50 34,420 Zumtobel AG 632,640 1.64 Total - Austria 1,210,479 3.14 Brazil 87,200 Cia Energetica de Minas Gerais ADR 365,556 0.95 Total - Brazil 365,556 0.95 Canada 20,120 Canadian Solar Inc 609,507 1.58 Total - Canada 609,507 1.58 Cayman Islands 1,697,000 HKD GCL-Poly Energy Holdings Ltd 462,280 1.20 Total - Cayman Islands 462,280 1.20 China 594,000 HKD CSR Corp Ltd 323,623 0.84 334,000 HKD Zhuzhou CSR Times Electric Co Ltd 766,517 1.99 Total - China 1,090,140 2.82 Denmark 21,130 DKK Vestas Wind Systems A/S 553,274 1.43 Total - Denmark 553,274 1.43 France 21,150 Cie de St-Gobain 920,025 2.38 40,920 Suez Environnement Co 592,522 1.53 Total - France 1,512,547 3.92 Germany 4,560 Continental AG 804,156 2.08 35,320 GEA Group AG 1,241,145 3.21 11,670 Henkel AG & Co 943,520 2.44 KGaA 8,990 Init Innovation In 224,301 0.58 Traffic Systems AG 5,470 Linde AG 821,321 2.13 11,956 OSRAM Licht AG 588,893 1.53 6,130 Siemens AG 593,139 1.54 Total - Germany 5,216,473 13.51 Hong Kong 1,374,000 HKD Guangdong Investment Ltd 1,040,838 2.70 213,500 HKD MTR Corp Ltd 560,682 1.45 Total - Hong Kong 1,601,519 4.15 Ireland 17,550 Ingersoll-Rand PLC 776,894 2.01 Total - Ireland 776,894 2.01 Italy 99,420 Ansaldo STS SpA 820,215 2.12 44,710 Prysmian SpA 837,865 2.17 Total - Italy 1,658,080 4.29 Japan 21,900 JPY Denso Corp 845,134 2.19 10,500 JPY East Japan Railway Co 591,564 1.53 Total - Japan 1,436,697 3.72 Jersey 9,710 GBP Wolseley PLC 409,537 1.06 Total - Jersey 409,537 1.06 Netherlands 32,750 Aalberts Industries NV 802,211 2.08 Total - Netherlands 802,211 2.08 Switzerland 1,930 CHF Geberit AG 438,825 1.14 16,320 Pentair Ltd 954,870 2.47 Total - Switzerland 1,393,696 3.61 Taiwan 310,000 TWD Epistar Corp 527,449 1.37 Total - Taiwan 527,449 1.37 United Kingdom 76,660 GBP National Grid PLC 776,228 2.01 298,730 GBP Shanks Group PLC 426,810 1.11 148,030 GBP SIG PLC 379,887 0.98 Total - United Kingdom 1,582,925 4.10 United States 5,810 Acuity Brands Inc 593,346 1.54 34,750 AECOM Technology 803,617 2.08 Corp 11,310 Air Products & 993,469 2.57 Chemicals Inc 21,970 American Water 713,271 1.85 Works Co Inc 31,470 AMETEK Inc 1,213,093 3.14 21,680 BorgWarner Inc 964,585 2.50 26,190 Danaher Corp 1,450,438 3.76 33,700 MasTec Inc 998,934 2.59 39,630 Maxwell 293,247 0.76 Technologies Inc 13,300 NextEra Energy Inc 880,054 2.28 14,050 Norfolk Southern 934,971 2.42 Corp 14,820 Polypore International Inc 371,372 0.96 * Any deviations of the percentages of the net assets are due to rounding. 89
Vontobel Fund - Clean Technology Portfolio as at February 28, 2014 16,800 Regal-Beloit Corp 896,349 2.32 13,500 Rockwood Holdings 771,010 2.00 Inc 11,200 Roper Industries Inc 1,099,768 2.85 39,240 Tetra Tech Inc 820,513 2.13 18,000 Thermo Fisher 1,623,082 4.20 Scientific Inc 13,100 Veeco Instruments 375,126 0.97 Inc 25,500 Xylem Inc/NY 726,514 1.88 Total - United States 16,522,759 42.80 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 37,732,023 97.73 37,732,023 97.73 37,732,023 97.73 * Any deviations of the percentages of the net assets are due to rounding. 90
Vontobel Fund - Future Resources Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 99,671,792 119,925,898 Cash at banks Receivable from subscriptions 5,264,797 312,434 Interest and dividends receivable 124,813 (9) Unrealised gain on forward foreign exchange contracts 2,712 Other assets Total Assets 22,283 125,652,937 Liabilities Payable for redemptions 97,192 Audit fees, printing and publishing expenses 2,975 (5) Service Fee payable 28,939 (4) Subscription Tax payable 8,919 (3) Management Fee payable 142,981 Other liabilities 9,945 Total Liabilities 290,951 Total net assets at the end of the period 125,361,986 Net assets at the beginning of the period 147,035,611 Net investment loss on investments -462,673 Change in unrealised appreciation/depreciation on: Investments 5,495,031 Forward foreign exchange contracts 3,381 Net realised gain/loss on investments 4,662,108 Net realised gain/loss on forward foreign exchange contracts 10,162 Net realised gain/loss on currency exchange -179,029 Increase/Decrease in net assets resulting from operations 9,528,980 Subscriptions of shares 9,706,903 Redemptions of shares -40,905,488 (11) Dividend distribution -4,020 Total net assets at the end of the period 125,361,986 Income Bank interest 1,300 Net dividends 652,609 Other income 204,019 Total income 857,928 (3) Expenses Management Fees 992,142 Audit fees, printing and publishing expenses 8,267 (4) Subscription tax 26,667 Bank interest 1,580 (5) Service Fees 206,400 (12) Securities Lending Fees 65,007 (8) Other Fees payable 20,538 Total Expenses 1,320,601 Net investment loss on investments -462,673 91
Vontobel Fund - Future Resources Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Austria 10,930 Schoeller-Bleckmann Oilfield Equipment AG 914,841 0.73 Total - Austria 914,841 0.73 Bermuda Islands 28,160 Bunge Ltd 1,623,153 1.29 172,950 Kosmos Energy Ltd 1,374,935 1.10 Total - Bermuda Islands 2,998,088 2.39 Canada 314,760 CAD Africa Oil Corp 1,780,847 1.42 70,000 CAD Enerflex Ltd 722,955 0.58 96,830 CAD First Quantum 1,360,427 1.09 Minerals Ltd 110,000 CAD Peyto Exploration & 2,597,353 2.07 Development Corp 72,010 CAD Potash Corp of 1,723,872 1.38 Saskatchewan Inc 175,000 CAD Trinidad Drilling Ltd 1,269,406 1.01 21,920 Agrium Inc 1,464,560 1.17 80,000 Canadian Solar Inc 2,423,488 1.93 Total - Canada 13,342,909 10.64 Curaçao 47,120 Schlumberger Ltd 3,172,834 2.53 Total - Curaçao 3,172,834 2.53 Denmark 45,360 DKK Novozymes A/S 1,528,718 1.22 46,300 DKK Vestas Wind Systems A/S 1,212,333 0.97 Total - Denmark 2,741,051 2.19 Germany 81,380 BASF SE 6,788,720 5.42 21,570 Linde AG 3,238,736 2.58 Total - Germany 10,027,455 8.00 Japan 440,000 JPY Toray Industries Inc 2,188,029 1.75 Total - Japan 2,188,029 1.75 Netherlands 12,000 Core Laboratories NV 1,633,856 1.30 69,920 LyondellBasell Industries NV 4,459,004 3.56 Total - Netherlands 6,092,860 4.86 Sweden 108,000 SEK Boliden AB 1,241,481 0.99 Total - Sweden 1,241,481 0.99 Switzerland 57,680 Pentair Ltd 3,374,811 2.69 Total - Switzerland 3,374,811 2.69 United Kingdom 324,120 GBP Ophir Energy PLC 1,255,345 1.00 Total - United Kingdom 1,255,345 1.00 United States 81,870 American Water Works Co Inc 2,657,967 2.12 25,160 Anadarko Petroleum 1,533,118 1.22 Corp 80,000 Archer-Daniels- 2,351,663 1.88 Midland Co 137,000 C&J Energy Services 2,564,131 2.05 Inc 93,000 Cabot Oil & Gas 2,356,732 1.88 Corp 19,240 CF Industries 3,495,142 2.79 Holdings Inc 28,770 Chart Industries Inc 1,740,594 1.39 104,010 Cobalt International 1,451,915 1.16 Energy Inc 15,000 Concho Resources 1,315,534 1.05 Inc 66,500 Dow Chemical 2,345,303 1.87 Co/The 50,000 EI du Pont de 2,411,758 1.92 Nemours & Co 83,960 Flowserve Corp 4,936,750 3.94 63,070 Gulfport Energy Corp 3,018,446 2.41 25,000 Helmerich & Payne 1,787,460 1.43 Inc 145,490 Hexcel Corp 4,740,289 3.78 37,830 Monsanto Co 3,013,472 2.40 141,250 Newpark Resources 1,137,241 0.91 Inc 41,240 Nucor Corp 1,500,125 1.20 27,680 PDC Energy Inc 1,245,164 0.99 20,400 PPG Industries Inc 2,921,861 2.33 42,790 Range Resources 2,665,952 2.13 Corp 65,950 Rockwood Holdings 3,766,525 3.00 Inc 26,170 Roper Industries Inc 2,569,725 2.05 241,060 Solazyme Inc 2,141,553 1.71 190,310 Stillwater Mining Co 1,865,690 1.49 124,350 Tetra Tech Inc 2,600,172 2.07 220,920 Trimble Navigation 6,102,232 4.87 Ltd 45,000 Trinity Industries Inc 2,339,681 1.87 Total - United States 72,576,195 57.89 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 119,925,898 95.66 119,925,898 95.66 119,925,898 95.66 * Any deviations of the percentages of the net assets are due to rounding. 92
Vontobel Fund - Sustainable Asia (ex Japan) Equity Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 28,618,604 32,374,619 Cash at banks Receivable from foreign currencies Receivable from subscriptions 309,914 Interest and dividends receivable 32,658 Receivable for forward foreign exchange contracts Total Assets 50,138 32,769,656 Liabilities Bank overdraft 13,966 Payable for redemptions 1,422 Payable on foreign currencies 1,338 (9) Unrealised loss on forward foreign exchange contracts 23,681 Audit fees, printing and publishing expenses 309 (5) Service Fee payable 7,646 (4) Subscription Tax payable 1,829 (3) Management Fee payable 35,090 Other liabilities 18,855 Total Liabilities 104,136 Total net assets at the end of the period 32,665,520 Net assets at the beginning of the period 30,201,763 Net investment loss on investments -141,885 Change in unrealised appreciation/depreciation on: Investments 1,164,506 Forward foreign exchange contracts 89,430 Net realised gain/loss on investments 1,747,504 Net realised gain/loss on forward foreign exchange contracts 298,020 Net realised gain/loss on currency exchange -20,422 Increase/Decrease in net assets resulting from operations 3,137,153 Subscriptions of shares 22,922,957 Redemptions of shares -23,558,960 (11) Dividend distribution -37,393 Total net assets at the end of the period 32,665,520 Income Net dividends 205,189 Other income 29 Total income 205,218 (3) Expenses Management Fees 259,673 Audit fees, printing and publishing expenses 2,142 (4) Subscription tax 7,425 Bank interest 976 (5) Service Fees 61,005 (8) Other Fees payable 15,882 Total Expenses 347,103 Net investment loss on investments -141,885 1,334 993 93
Vontobel Fund - Sustainable Asia (ex Japan) Equity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Bermuda Islands 700,000 HKD Brilliance China Automotive Holdings Ltd 1,064,251 3.26 442,000 HKD Haier Electronics 1,309,828 4.01 Group Co Ltd Total - Bermuda Islands 2,374,080 7.27 Cayman Islands 112,844 HKD AAC Technologies Holdings Inc 513,236 1.57 124,000 HKD MGM China 528,827 1.62 Holdings Ltd 63,000 HKD Sands China Ltd 527,210 1.61 20,900 HKD Tencent Holdings Ltd 1,676,293 5.13 177,200 HKD Wynn Macau Ltd 851,602 2.61 12,900 NetEase Inc ADR 886,230 2.71 Total - Cayman Islands 4,983,399 15.26 China 1,883,000 HKD China Construction Bank Corp 1,295,555 3.97 797,900 HKD China Vanke Co Ltd 1,182,253 3.62 235,000 HKD Great Wall Motor Co 1,071,853 3.28 Ltd 2,170,000 HKD Industrial & 1,302,896 3.99 Commercial Bank of China Ltd 212,000 HKD PICC Property & 289,538 0.89 Casualty Co Ltd 139,500 HKD Ping An Insurance 1,133,244 3.47 Group Co of China Ltd 393,000 HKD Zhuzhou CSR Times 1,248,170 3.82 Electric Co Ltd 26,700 Mindray Medical International Ltd ADR 952,923 2.92 Total - China 8,476,433 25.95 Hong Kong 522,000 HKD China Everbright International Ltd 764,035 2.34 456,000 HKD China Overseas Land 1,224,997 3.75 & Investment Ltd 1,024,000 HKD Lenovo Group Ltd 1,092,432 3.34 Total - Hong Kong 3,081,464 9.43 Korea, Republic Of 32,850 KRW Kangwon Land Inc 981,896 3.01 14,905 KRW Kia Motors Corp 773,716 2.37 4,726 Samsung Electronics Co Ltd 2,972,654 9.10 Total - Korea, Republic Of 4,728,266 14.47 Taiwan 29,000 TWD Largan Precision Co Ltd 1,286,385 3.94 110,700 Taiwan Semiconductor Manufacturing Co Ltd ADR 1,993,707 6.10 Total - Taiwan 3,280,092 10.04 Thailand 63,371 THB Kasikornbank PCL 335,780 1.03 185,916 THB Siam Commercial Bank PCL/The 862,677 2.64 Total - Thailand 1,198,457 3.67 Virgin Islands 20,000 Hollysys Automation Technologies Ltd 398,800 1.22 Total - Virgin Islands 398,800 1.22 Total - Shares Total - Transferable securities admitted to an official exchange 31,256,597 95.69 31,256,597 95.69 Transferable securities and money market instruments dealt in on another regulated market Shares Taiwan 30,000 TWD Hermes Microvision Inc 1,118,022 3.42 Total - Taiwan 1,118,022 3.42 Total - Shares Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 1,118,022 1,118,022 3.42 3.42 32,374,619 99.11 India 79,561 INR Cairn India Ltd 415,871 1.27 67,871 INR HCL Technologies Ltd 1,724,099 5.28 Total - India 2,139,971 6.55 Indonesia 745,872 IDR Bank Rakyat Indonesia Persero Tbk PT 595,637 1.82 Total - Indonesia 595,637 1.82 * Any deviations of the percentages of the net assets are due to rounding. 94
Vontobel Fund - Sustainable Emerging s Leaders Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 102,212,277 117,346,126 Cash at banks 980,844 Receivable from subscriptions 34,112 Interest and dividends receivable 95,354 Formation expenses 1,070 Other assets Total Assets 450 118,457,956 Liabilities Payable for redemptions 165,743 Audit fees, printing and publishing expenses 2,895 (5) Service Fee payable 28,078 (4) Subscription Tax payable 7,271 (3) Management Fee payable 126,333 Other liabilities 32,572 Total Liabilities 362,892 Total net assets at the end of the period 118,095,064 Net assets at the beginning of the period 125,747,514 Net investment loss on investments -215,359 Change in unrealised appreciation/depreciation on: Investments 10,603,300 Net realised gain/loss on investments -1,239,801 Net realised gain/loss on currency exchange -49,108 Increase/Decrease in net assets resulting from operations 9,099,032 Subscriptions of shares 4,872,874 Redemptions of shares -21,590,252 (11) Dividend distribution -34,104 Total net assets at the end of the period 118,095,064 Income Bank interest 484 Net dividends 923,954 Other income 12,125 Total income 936,563 (3) Expenses Management Fees 875,437 Audit fees, printing and publishing expenses 10,714 (4) Subscription tax 23,413 Bank interest 2,181 (5) Service Fees 200,897 (8) Other Fees payable 39,280 Total Expenses 1,151,922 Net investment loss on investments -215,359 95
Vontobel Fund - Sustainable Emerging s Leaders Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares Bermuda Islands 1,871,684 HKD Brilliance China Automotive Holdings Ltd 2,850,566 2.41 1,314,835 HKD Haier Electronics 3,888,078 3.29 Group Co Ltd 24,887 Credicorp Ltd 3,232,821 2.74 Total - Bermuda Islands 9,971,465 8.44 Brazil 271,000 BRL Porto Seguro SA 3,768,012 3.19 Total - Brazil 3,768,012 3.19 Cayman Islands 383,287 HKD AAC Technologies Holdings Inc 1,735,923 1.47 761,600 HKD MGM China 3,248,149 2.75 Holdings Ltd 400,000 HKD Sands China Ltd 3,344,920 2.83 45,102 HKD Tencent Holdings Ltd 3,617,564 3.06 616,750 HKD Wynn Macau Ltd 2,972,089 2.52 45,521 NetEase Inc ADR 3,148,688 2.67 35,624 WuXi PharmaTech Cayman Inc ADR 1,370,099 1.16 Total - Cayman Islands 19,437,432 16.46 China 4,570,902 HKD China Construction Bank Corp 3,139,136 2.66 1,681,815 HKD China Vanke Co Ltd 2,492,052 2.11 458,500 HKD Great Wall Motor Co 2,091,335 1.77 Ltd 6,254,922 HKD Industrial & 3,747,623 3.17 Commercial Bank of China Ltd 974,064 HKD PICC Property & 1,330,376 1.13 Casualty Co Ltd 1,436,927 HKD Zhuzhou CSR Times 4,554,607 3.86 Electric Co Ltd 77,800 Mindray Medical International Ltd ADR 2,718,332 2.30 Total - China 20,073,461 17.00 Hong Kong 1,886,028 HKD China Everbright International Ltd 2,760,626 2.34 714,000 HKD China Overseas Land 1,918,162 1.62 & Investment Ltd 2,905,913 HKD Lenovo Group Ltd 3,100,231 2.63 Total - Hong Kong 7,779,018 6.59 India 251,822 INR Cairn India Ltd 1,317,191 1.12 243,166 INR HCL Technologies Ltd 6,181,261 5.23 Total - India 7,498,452 6.35 Indonesia 2,645,683 IDR Bank Rakyat Indonesia Persero Tbk PT 2,113,764 1.79 Total - Indonesia 2,113,764 1.79 Korea, Republic Of 108,616 KRW Kangwon Land Inc 3,246,565 2.75 58,700 KRW Kia Motors Corp 3,047,105 2.58 12,486 Samsung Electronics Co Ltd 7,828,546 6.63 Total - Korea, Republic Of 14,122,216 11.96 Luxembourg 1,480,800 HKD Samsonite International SA 4,083,111 3.46 Total - Luxembourg 4,083,111 3.46 Mexico 35,900 Fomento Economico Mexicano SAB de CV ADR 3,073,758 2.60 Total - Mexico 3,073,758 2.60 Poland 148,956 PLN Eurocash SA 1,960,272 1.66 Total - Poland 1,960,272 1.66 Russia 316,672 Sberbank of Russia ADR 3,239,107 2.74 Total - Russia 3,239,107 2.74 Taiwan 99,000 TWD Largan Precision Co Ltd 4,394,781 3.72 222,974 Taiwan Semiconductor Manufacturing Co Ltd ADR 4,029,140 3.41 Total - Taiwan 8,423,921 7.13 Thailand 402,970 THB Kasikornbank PCL 2,136,798 1.81 537,500 THB Siam Commercial Bank PCL/The 2,495,949 2.11 Total - Thailand 4,632,747 3.92 United Kingdom 54,159 GBP SABMiller PLC 2,656,614 2.25 Total - United Kingdom 2,656,614 2.25 Total - Shares Total - Transferable securities admitted to an official exchange 112,833,352 95.54 112,833,352 95.54 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 96
Vontobel Fund - Sustainable Emerging s Leaders Portfolio as at February 28, 2014 Transferable securities and money market instruments dealt in on another regulated market Investment funds Guernsey 1,852,143 GBP Romania Property Fund Ltd ** 0 0.00 Total - Guernsey 0 0.00 Total - Investment funds 0 0.00 Shares Taiwan 121,000 TWD Hermes Microvision Inc 4,512,774 3.82 Total - Taiwan 4,512,774 3.82 Total - Shares Total - Transferable securities and money market instruments dealt in on another regulated market 4,512,774 4,512,774 3.82 3.82 Total - Investment in securities 117,346,126 99.37 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 97
Vontobel Fund - Sustainable Global Leaders Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 123,965,019 142,396,172 Cash at banks Receivable from foreign currencies Receivable from subscriptions Interest and dividends receivable 4,258,118 1,481,618 148,372 96,975 Receivable for investments sold 1,486,515 (9) Unrealised gain on forward foreign exchange contracts 130,611 (9) Options contracts at market value 253,274 Other assets Total Assets 27,569 150,279,224 Liabilities Bank overdraft 100 Payable for redemptions 108,590 Payable for investments purchased 3,646,116 Payable on foreign currencies 1,486,515 (9) Unrealised loss on options 205,285 Audit fees, printing and publishing expenses 2,816 (5) Service Fee payable 32,915 (4) Subscription Tax payable 7,722 (3) Management Fee payable 117,279 Other liabilities 26,808 Total Liabilities 5,634,146 Total net assets at the end of the period 144,645,078 Net assets at the beginning of the period 110,936,900 Net investment loss on investments -301,584 Change in unrealised appreciation/depreciation on: Investments 12,097,319 Forward foreign exchange contracts 236,736 Options 24,826 Net realised gain/loss on investments 9,647,656 Net realised gain/loss on forward foreign exchange contracts 271,144 Net realised gain/loss on currency exchange -87,871 Net realised gain/loss on options -208,752 Increase/Decrease in net assets resulting from operations 21,679,474 Subscriptions of shares 26,782,497 Redemptions of shares -14,753,793 Total net assets at the end of the period 144,645,078 Income Bank interest 1 Net dividends 539,778 Other income 147,593 Total income 687,372 (3) Expenses Management Fees 724,144 Audit fees, printing and publishing expenses 7,586 (4) Subscription tax 23,118 Bank interest 177 (5) Service Fees 203,157 (8) Other Fees payable 30,774 Total Expenses 988,956 Net investment loss on investments -301,584 98
Vontobel Fund - Sustainable Global Leaders Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Shares China 769,986 HKD Great Wall Motor Co Ltd 3,512,102 2.43 5,299,000 HKD Industrial & Commercial Bank of China Ltd 3,174,884 2.19 Total - China 6,686,987 4.62 Curaçao 60,483 Schlumberger Ltd 5,624,919 3.89 Total - Curaçao 5,624,919 3.89 Denmark 70,000 DKK Novo Nordisk A/S 3,338,640 2.31 Total - Denmark 3,338,640 2.31 France 39,000 Schneider Electric SA 3,487,749 2.41 Total - France 3,487,749 2.41 Germany 25,887 Continental AG 6,305,188 4.36 13,000 Fresenius SE & Co 2,021,727 1.40 KGaA 27,079 SAP AG 2,188,657 1.51 Total - Germany 10,515,573 7.27 Hong Kong 2,900,000 HKD Lenovo Group Ltd 3,093,922 2.14 Total - Hong Kong 3,093,922 2.14 32,000 GBP SABMiller PLC 1,569,668 1.09 902,322 GBP William Hill PLC 6,012,334 4.16 Total - United Kingdom 14,420,679 9.97 United States 51,300 Allergan Inc/United States 6,515,100 4.50 17,841 American Express Co 1,628,526 1.13 9,580 BlackRock Inc 2,920,367 2.02 107,403 CVS Caremark Corp 7,855,455 5.43 67,456 Fossil Group Inc 7,751,369 5.36 56,225 Gilead Sciences Inc 4,654,868 3.22 29,652 Goldman Sachs 4,935,575 3.41 Group Inc 4,210 Google Inc 5,117,887 3.54 64,315 National Oilwell 4,954,828 3.43 Varco Inc 95,521 QUALCOMM Inc 7,191,776 4.97 59,342 Rockwell Automation 7,289,571 5.04 Inc 27,046 Stanley Black & 2,245,900 1.55 Decker Inc 27,485 TransDigm Group Inc 4,896,178 3.38 53,500 WEX Inc 5,179,870 3.58 Total - United States 73,137,270 50.56 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 142,396,172 98.45 142,396,172 98.45 142,396,172 98.45 Ireland 233,913 Irish Bank Resolution Corp Ltd/Old ** 0 0.00 8,000 Jazz Pharmaceuticals Plc 1,215,560 0.84 Total - Ireland 1,215,560 0.84 Jersey 125,988 GBP Shire PLC 7,009,748 4.85 62,636 GBP WPP PLC 1,372,989 0.95 Total - Jersey 8,382,737 5.80 Switzerland 50,292 CHF Aryzta AG 4,191,002 2.90 28,141 CHF Cie Financiere 2,798,766 1.93 Richemont SA 105,451 CHF Credit Suisse Group 3,316,296 2.29 AG 27,052 Pentair Ltd 2,186,072 1.51 Total - Switzerland 12,492,136 8.64 United Kingdom 100,000 GBP Compass Group PLC 1,582,840 1.09 126,285 GBP Prudential PLC 2,867,650 1.98 29,000 GBP Reckitt Benckiser Group PLC 2,388,187 1.65 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 99
Vontobel Fund - Belvista Commodity Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Notes Assets Cost Investments in securities at market value 357,383,135 357,434,670 Cash at banks Receivable from subscriptions 217,575,902 347,721 Interest and dividends receivable 50,731 Interest receivable on Contracts for Difference 188,252 (9) Unrealised gain on forward foreign exchange contracts 4,507,305 (9) Unrealised gain on Contracts for Difference 13,240,434 Total Assets 593,345,015 Liabilities Bank overdraft 1 Payable for redemptions 467,966 Payable for investments purchased 39,988,612 Audit fees, printing and publishing expenses 12,622 (5) Service Fee payable 89,326 (4) Subscription Tax payable 22,860 (3) Management Fee payable 364,519 Other liabilities 31,644 Total Liabilities 40,977,550 Total net assets at the end of the period 552,367,465 Net assets at the beginning of the period 577,197,207 Net investment loss on investments -3,571,846 Change in unrealised appreciation/depreciation on: Investments -58,103 Forward foreign exchange contracts 3,169,858 Contracts for Difference 11,988,742 Net realised gain/loss on investments 118,067 Net realised gain/loss on forward foreign exchange contracts 17,201,011 Net realised gain/loss on currency exchange 9,416 Net realised gain/loss on Contracts for Difference -1,480,644 Increase/Decrease in net assets resulting from operations 27,376,501 Subscriptions of shares 183,546,430 Redemptions of shares -235,752,673 Total net assets at the end of the period 552,367,465 Income Bank interest 140,338 Net interest on bonds 54,837 Other income 354 Total income 195,529 (3) Expenses Management Fees 2,500,405 Audit fees, printing and publishing expenses 26,114 (4) Subscription tax 73,826 Bank interest 224 Interest on Contracts for Difference 480,236 (5) Service Fees 638,999 (8) Other Fees payable 47,571 Total Expenses 3,767,375 Net investment loss on investments -3,571,846 100
Vontobel Fund - Belvista Commodity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds United States 30,000,000 United States 0.000% 12.06.2014 29,994,192 5.43 Treasury Bill 13 50,000,000 United States 0.000% 21.08.2014 49,989,364 9.05 Treasury Bill 13 55,000,000 United States 0.000% 06.03.2014 54,999,471 9.96 Treasury Bill 13 50,000,000 United States 0.000% 24.07.2014 49,991,915 9.05 Treasury Bill 13 60,000,000 United States 0.000% 18.09.2014 59,984,973 10.86 Treasury Bill 13 Total - United States 244,959,915 44.35 Total - Bonds Total - Transferable securities admitted to an official exchange 244,959,915 44.35 244,959,915 44.35 Money market instruments Debt Instruments Germany 25,000,000 KFW 13 CP 0.000% 12.03.2014 24,999,077 4.53 40,000,000 KFW 14 CP 0.000% 03.09.2014 39,988,611 7.24 47,500,000 KFW 14CP 0.000% 09.07.2014 47,487,067 8.60 Total - Germany 112,474,755 20.36 Total - Debt instruments Total - Money market instruments Total - Investment in securities 112,474,755 20.36 112,474,755 20.36 357,434,670 64.71 * Any deviations of the percentages of the net assets are due to rounding. 101
Vontobel Fund - Belvista Dynamic Commodity Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 52,506,362 52,492,296 Cash at banks Receivable from subscriptions 17,805,645 Interest and dividends receivable 2,608 (9) Unrealised gain on forward foreign exchange contracts 811,050 (9) Unrealised gain on Contracts for Difference 1,103,054 Other assets Total Assets 19,074 72,234,510 Liabilities Payable for investments purchased 3,000,308 Audit fees, printing and publishing expenses 1,225 (5) Service Fee payable 12,641 (4) Subscription Tax payable 2,294 (3) Management Fee payable 49,976 (3) Performance Fee payable 168 Other liabilities 55,646 Total Liabilities 3,122,258 Total net assets at the end of the period 69,112,252 Net assets at the beginning of the period 57,215,186 Net investment loss on investments -369,144 Change in unrealised appreciation/depreciation on: Investments -9,456 Forward foreign exchange contracts 615,448 Contracts for Difference 1,236,407 Net realised gain/loss on investments -8,918 Net realised gain/loss on forward foreign exchange contracts 1,586,981 Net realised gain/loss on currency exchange 1,220 Net realised gain/loss on Contracts for Difference 492,588 Increase/Decrease in net assets resulting from operations 3,545,126 Subscriptions of shares 37,889,443 Redemptions of shares -29,537,503 Total net assets at the end of the period 69,112,252 Income Bank interest 7,719 Net interest on bonds 606 Other income 37 Total income 8,362 (3) Expenses Management Fees 271,550 (3) Performance Fee 3,262 Audit fees, printing and publishing expenses 1,624 (4) Subscription tax 6,601 Bank interest 395 (5) Service Fees 77,753 (8) Other Fees payable 16,321 Total Expenses 377,506 Net investment loss on investments -369,144 783 102
Vontobel Fund - Belvista Dynamic Commodity Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds United States 6,500,000 United States 0.000% 20.03.2014 6,499,916 9.40 Treasury Bill 13 7,500,000 United States 0.000% 12.06.2014 7,499,001 10.85 Treasury Bill 13 8,000,000 United States 0.000% 21.08.2014 7,997,340 11.57 Treasury Bill 13 5,000,000 United States 0.000% 06.03.2014 4,999,995 7.23 Treasury Bill 13 8,500,000 United States 0.000% 24.07.2014 8,498,396 12.30 Treasury Bill 13 6,500,000 United States 0.000% 18.09.2014 6,497,395 9.40 Treasury Bill 13 Total - United States 41,992,042 60.76 Total - Bonds Total - Transferable securities admitted to an official exchange 41,992,042 60.76 41,992,042 60.76 Money market instruments Debt Instruments Germany 5,000,000 KFW 13 CP 0.000% 12.03.2014 4,999,941 7.23 3,000,000 KFW 14 CP 0.000% 03.09.2014 3,000,308 4.34 2,500,000 KFW 14CP 0.000% 09.07.2014 2,500,005 3.62 Total - Germany 10,500,254 15.19 Total - Debt instruments Total - Money market instruments Total - Investment in securities 10,500,254 15.19 10,500,254 15.19 52,492,296 75.95 * Any deviations of the percentages of the net assets are due to rounding. 103
Vontobel Fund - Target Return () Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 26,305,163 26,705,373 Cash at banks 1,850,466 Interest and dividends receivable 320,999 (9) Unrealised gain on forward foreign exchange contracts 5,140 (9) Options contracts at market value 11,563 Other assets Total Assets 1,428 28,894,969 Liabilities Payable for redemptions 4,898 (9) Unrealised loss on options 22,695 Audit fees, printing and publishing expenses 741 (5) Service Fee payable 4,404 (4) Subscription Tax payable 1,680 (3) Management Fee payable 21,194 (3) Performance Fee payable 62,009 Other liabilities 5,886 Total Liabilities 123,507 Total net assets at the end of the period 28,771,462 Net assets at the beginning of the period 35,670,828 Net investment income 53,607 Change in unrealised appreciation/depreciation on: Investments 204,701 Forward foreign exchange contracts 5,140 Options -8,514 Net realised gain/loss on investments 490,645 Net realised gain/loss on forward foreign exchange contracts 7,546 Net realised gain/loss on currency exchange -75,204 Net realised gain/loss on futures 62,065 Net realised gain/loss on options -57,029 Increase/Decrease in net assets resulting from operations 682,957 Subscriptions of shares 3,083,131 Redemptions of shares -10,665,454 Total net assets at the end of the period 28,771,462 Income Bank interest 61 Net interest on bonds 314,776 Net dividends 30,183 Other income 8,423 Total income 353,443 (3) Expenses Management Fees 168,747 (3) Performance Fee 76,948 Audit fees, printing and publishing expenses 1,932 (4) Subscription tax 5,410 Bank interest 750 (5) Service Fees 34,037 (8) Other Fees payable 12,012 Total Expenses 299,836 Net investment income 53,607 104
Vontobel Fund - Target Return () Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Cayman Islands 600,000 Petrobras Global 3.250% 01.04.2019 603,738 2.10 Finance BV 12 Total - Cayman Islands 603,738 2.10 France 600,000 AXA SA 06 FRN 5.777% 31.12.2099 636,534 2.21 629,000 BNP Paribas SA 12 1.039% 05.03.2014 629,038 2.19 FRN 500,000 CNP Assurances 11 6.875% 30.09.2041 577,940 2.01 FRN 600,000 Societe Des 1.170% 18.01.2016 606,102 2.11 Autoroutes Paris- Rhin-Rhone 13 FRN Total - France 2,449,614 8.51 Germany 200,000 Deutsche Post AG 12 0.600% 06.12.2019 274,432 0.95 550,000 Münchener 5.767% 29.06.2049 597,966 2.08 Rückversicherungs AG 07 FRN 551,000 RWE AG 10 FRN 4.625% 31.12.2099 566,213 1.97 970,000 Volkswagen Bank 0.686% 09.05.2016 973,414 3.38 GmbH 13 FRN Total - Germany 2,412,025 8.38 Ireland 650,000 Bank of Ireland 10 4.000% 28.01.2015 668,057 2.32 330,000 Smurfit Kappa 7.750% 15.11.2019 357,522 1.24 Acquisitions 09 Total - Ireland 1,025,579 3.56 Italy 400,000 Assicurazioni Generali 10.125% 10.07.2042 SpA 12 FRN 534,520 1.86 650,000 Intesa Sanpaolo SpA 0.418% 19.03.2014 650,020 2.26 07 FRN 538,000 Italy Buoni Poliennali 4.750% 15.09.2016 585,091 2.03 Del Tesoro 11 596,000 Italy Buoni Poliennali 3.500% 01.06.2018 633,322 2.20 Del Tesoro 13 Total - Italy 2,402,952 8.35 Jersey 900,000 Heathrow Funding 4.125% 12.10.2016 969,822 3.37 Ltd 10 Total - Jersey 969,822 3.37 Luxembourg 349,000 Wind Acquisition 7.375% 15.02.2018 371,029 1.29 Finance SA 10 Total - Luxembourg 371,029 1.29 Netherlands 922,000 Volkswagen 2.125% 19.01.2015 935,304 3.25 International Finance NV 12 Total - Netherlands 935,304 3.25 Spain 400,000 BBVA Senior Finance 4.375% 21.09.2015 420,792 1.46 SAU 12 450,000 Santander 3.500% 12.08.2014 455,661 1.58 International Debt SAU 10 200,000 Spain Government 3.000% 30.04.2015 205,430 0.71 Bond 10 Total - Spain 1,081,883 3.76 Sweden 900,000 Scania CV AB 12 1.750% 22.03.2016 917,766 3.19 Total - Sweden 917,766 3.19 United Kingdom 900,000 BP Capital s 2.177% 16.02.2016 927,054 3.22 PLC 12 750,000 Credit Suisse 6.125% 16.05.2014 758,633 2.64 AG/London 08 650,000 Legal & General 4.000% 08.06.2025 669,669 2.33 Group PLC 05 FRN Total - United Kingdom 2,355,356 8.19 United States 700,000 JPMorgan Chase & 3.750% 15.06.2016 745,773 2.59 Co 11 700,000 JPMorgan Chase 4.375% 30.11.2021 740,684 2.57 Bank NA 06 FRN Total - United States 1,486,457 5.17 Total - Bonds 17,011,525 59.13 Investment funds France 8,324 LYXOR UCITS ETF OMTS 1-3Y INVESTMENT GRADE DR 1,034,382 3.60 Total - France 1,034,382 3.60 Ireland 9,334 ishares Euro High Yield Corporate Bond UCITS ETF 1,014,617 3.53 Total - Ireland 1,014,617 3.53 Luxembourg 12,500 AXA IM Fixed Income Investment Strategies - US Short Duration High Yield 1,991,250 6.92 110,000 GAMAX Funds - Junior 1,397,000 4.86 * Any deviations of the percentages of the net assets are due to rounding. 105
Vontobel Fund - Target Return () Portfolio as at February 28, 2014 750,000 Ignis Absolute Return 892,500 3.10 Government Bond Fund 10,275 Vontobel Fund - 1,429,664 4.97 Global Convertible Bond 17,000 Vontobel Fund - Sustainable Global Leaders 1,562,328 5.43 Total - Luxembourg 7,272,742 25.28 Total - Investment funds Total - Transferable securities admitted to an official exchange 9,321,741 32.40 26,333,266 91.53 Transferable securities and money market instruments dealt in on another regulated market Bonds United States 480,000 SESI LLC 11 6.375% 01.05.2019 372,107 1.29 Total - United States 372,107 1.29 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market 372,107 372,107 1.29 1.29 Total - Investment in securities 26,705,373 92.82 * Any deviations of the percentages of the net assets are due to rounding. 106
Vontobel Fund - Robusta Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 2, 2013 to February 28, 2014 Assets Investments in securities at market value 35,699,097 37,024,136 Cash at banks Receivable from subscriptions Interest and dividends receivable 3,839,016 9,861 92,570 Receivable for investments sold 941,581 (9) Unrealised gain on forward foreign exchange contracts 24,170 (9) Options contracts at market value 286,664 Other assets Total Assets 4,960 42,222,958 Liabilities Bank overdraft 15,520 Payable for redemptions 22,523 Payable for investments purchased 1,554,997 (9) Unrealised loss on futures 11,479 (9) Unrealised loss on options 343,989 Audit fees, printing and publishing expenses 920 (5) Service Fee payable 7,962 (4) Subscription Tax payable 3,184 (3) Management Fee payable 38,292 Merger expenses 31,765 Other liabilities 9,649 Total Liabilities 2,040,280 Total net assets at the end of the period 40,182,678 Net assets at the beginning of the period 0 Net investment loss on investments -174,677 Change in unrealised appreciation/depreciation on: Investments 1,321,421 Futures -11,479 Forward foreign exchange contracts 23,929 Options -129,902 Net realised gain/loss on investments 86,735 Net realised gain/loss on forward foreign exchange contracts 72,840 Net realised gain/loss on currency exchange -121,411 Net realised gain/loss on futures 183,261 Net realised gain/loss on options -353,077 Increase/Decrease in net assets resulting from operations 897,640 Subscriptions of shares 49,363,525 Redemptions of shares -10,078,487 Total net assets at the end of the period 40,182,678 107
Vontobel Fund - Robusta Notes Statement of Net Income from September 2, 2013 to February 28, 2014 Income Bank interest 67 Net interest on bonds 147,968 Net dividends 85,269 Other income 38,903 Total income 272,207 (3) Expenses Management Fees 250,656 Audit fees, printing and publishing expenses 7,394 (4) Subscription tax 8,945 Bank interest 2,131 (5) Service Fees 57,729 (8) Other Fees payable 120,029 Total Expenses 446,884 Net investment loss on investments -174,677 108
Vontobel Fund - Robusta Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Brazil 2,500,000 BRL Brazilian Government 12.500% 05.01.2016 International Bond 05 807,797 2.01 Total - Brazil 807,797 2.01 Germany 1,700,000 Bundesrepublik 2.500% 04.07.2044 1,710,540 4.26 Deutschland 12 1,700,000 Bundesrepublik 1.500% 15.05.2023 1,701,309 4.23 Deutschland 13 1,000,000 German Treasury Bill 0.000% 30.04.2014 999,920 2.49 13 Total - Germany 4,411,769 10.98 Italy 500,000 Italy Buoni Poliennali 3.500% 01.06.2018 531,310 1.32 Del Tesoro 13 Total - Italy 531,310 1.32 Spain 500,000 Spain Government 3.800% 31.01.2017 534,450 1.33 Bond 06 Total - Spain 534,450 1.33 United States 2,200,000 United States 0.000% 24.04.2014 1,592,766 3.96 Treasury Bill 13 Total - United States 1,592,766 3.96 Total - Bonds 7,878,092 19.61 Investment funds Ireland 18,000 GLG Investments PLC - GLG Japan CoreAlpha Equity 2,464,020 6.13 3,000 JPY GLG Investments PLC - GLG Japan CoreAlpha Equity 302,071 0.75 Total - Ireland 2,766,091 6.88 Luxembourg 33,000 AXA IM Fixed Income Investment Strategies - US Short Duration High Yield 3,337,632 8.31 Total - Luxembourg 3,337,632 8.31 Total - Investment funds 6,103,722 15.19 Shares Canada 30,500 GOLDCORP INC 594,696 1.48 Total - Canada 594,696 1.48 Curaçao 7,800 Schlumberger Ltd 525,215 1.31 Total - Curaçao 525,215 1.31 France 6,000 BNP Paribas SA 356,760 0.89 Total - France 356,760 0.89 Germany 17,500 Deutsche Bank AG 616,700 1.53 12,400 Deutsche Post AG 337,404 0.84 10,300 SAP AG 602,756 1.50 Total - Germany 1,556,860 3.87 Ireland 11,390 Irish Bank Resolution Corp Ltd/Old ** 0 0.00 9,975 Accenture PLC 601,974 1.50 Total - Ireland 601,974 1.50 Jersey 39,000 GBP WPP PLC 618,966 1.54 10,500 Randgold Resources Ltd ADR 600,891 1.50 Total - Jersey 1,219,856 3.04 Russia 100,000 Gazprom OAO ADR 557,506 1.39 80,000 Sberbank of Russia ADR 592,468 1.47 Total - Russia 1,149,974 2.86 Switzerland 42,000 CHF Credit Suisse Group AG 956,337 2.38 40,000 CHF UBS AG 620,460 1.54 Total - Switzerland 1,576,797 3.92 United Kingdom 42,900 GBP BHP Billiton PLC 1,003,856 2.50 52,000 GBP Compass Group PLC 595,936 1.48 37,100 GBP Prudential PLC 609,969 1.52 11,400 GBP Reckitt Benckiser 679,727 1.69 Group PLC 24,800 GBP Rio Tinto PLC 1,032,896 2.57 Total - United Kingdom 3,922,383 9.76 United States 5,623 3M Co 548,519 1.37 19,900 Abbott Laboratories 573,162 1.43 1,900 Amazon.com Inc 498,128 1.24 8,700 American Express Co 574,982 1.43 700 BlackRock Inc 154,500 0.38 3,300 Colgate-Palmolive 150,121 0.37 Co 6,900 Ecolab Inc 538,301 1.34 27,100 EMC Corp/MA 517,414 1.29 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 109
Vontobel Fund - Robusta Portfolio as at February 28, 2014 10,200 Estee Lauder Cos Inc 508,394 1.27 690 Google Inc 607,319 1.51 9,800 NIKE Inc 555,580 1.38 10,150 QUALCOMM Inc 553,302 1.38 6,700 Thermo Fisher 604,147 1.50 Scientific Inc 8,700 United Parcel Service 603,265 1.50 Inc 7,100 United Technologies 601,558 1.50 Corp 9,100 Viacom Inc 578,028 1.44 1,120 Visa Inc 183,219 0.46 Total - United States 8,349,939 20.78 Total - Shares Total - Transferable securities admitted to an official exchange 19,854,455 49.41 33,836,270 84.21 Transferable securities and money market instruments dealt in on another regulated market Bonds United States 2,200,000 United States 3.625% 15.08.2043 1,606,315 4.00 Treasury Note/Bond 13 2,200,000 United States 2.500% 15.08.2023 1,581,551 3.94 Treasury Note/Bond 13 Total - United States 3,187,867 7.93 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market 3,187,867 3,187,867 7.93 7.93 Total - Investment in securities 37,024,136 92.14 * Any deviations of the percentages of the net assets are due to rounding. ** See note 10. 110
Vontobel Fund - Robusta Dynamic Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 2, 2013 to February 28, 2014 Statement of Net Income from September 2, 2013 to February 28, 2014 Assets Investments in securities at market value 21,901,501 23,135,415 Cash at banks 2,930,663 Receivable from foreign currencies 154 Receivable from subscriptions 74,674 Interest and dividends receivable 24,577 Receivable for investments sold 171,109 (9) Options contracts at market value 218,302 Total Assets 26,554,894 Liabilities Payable on foreign currencies 154 (9) Unrealised loss on forward foreign exchange contracts 53,078 (9) Unrealised loss on options 336,679 Audit fees, printing and publishing expenses 563 (5) Service Fee payable 5,162 (4) Subscription Tax payable 1,436 (3) Management Fee payable 18,329 Other liabilities 2,933 Total Liabilities 418,334 Total net assets at the end of the period 26,136,560 Net assets at the beginning of the period 0 Net investment loss on investments -168,995 Change in unrealised appreciation/depreciation on: Investments 928,074 Forward foreign exchange contracts -53,078 Options -118,731 Net realised gain/loss on investments -221,294 Net realised gain/loss on forward foreign exchange contracts 174,321 Net realised gain/loss on currency exchange -143,382 Net realised gain/loss on futures 107,100 Net realised gain/loss on options -268,269 Increase/Decrease in net assets resulting from operations 235,746 Subscriptions of shares 26,489,489 Redemptions of shares -588,675 Total net assets at the end of the period 26,136,560 Income Net interest on bonds 50,260 Net dividends 77,344 Other income 810 Total income 128,414 (3) Expenses Management Fees 120,477 Audit fees, printing and publishing expenses 1,946 (4) Subscription tax 5,501 Bank interest 1,149 (5) Service Fees 38,940 (8) Other Fees payable 129,396 Total Expenses 297,409 Net investment loss on investments -168,995 111
Vontobel Fund - Robusta Dynamic Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Investment funds Ireland 6,000 GLG Investments PLC - GLG Japan CoreAlpha Equity 821,340 3.14 2,500 JPY GLG Investments 251,726 0.96 PLC - GLG Japan CoreAlpha Equity Total - Ireland 1,073,066 4.11 Luxembourg 6,300 Vontobel Fund - China Stars Equity 571,363 2.19 Total - Luxembourg 571,363 2.19 Total - Investment funds 1,644,428 6.29 Shares Canada 21,000 Agnico Eagle Mines Ltd 488,376 1.87 28,500 GOLDCORP INC 555,700 2.13 Total - Canada 1,044,076 3.99 Curaçao 7,600 Schlumberger Ltd 511,747 1.96 Total - Curaçao 511,747 1.96 France 10,000 BNP Paribas SA 594,600 2.27 Total - France 594,600 2.27 Germany 13,500 Deutsche Bank AG 475,740 1.82 19,819 Deutsche Post AG 539,275 2.06 8,500 SAP AG 497,420 1.90 Total - Germany 1,512,435 5.79 Ireland 8,600 Accenture PLC 518,995 1.99 Total - Ireland 518,995 1.99 Jersey 32,000 GBP WPP PLC 507,869 1.94 10,000 Randgold Resources Ltd ADR 572,277 2.19 Total - Jersey 1,080,146 4.13 Spain 365 Banco Bilbao Vizcaya Argentaria SA 3,283 0.01 Total - Spain 3,283 0.01 Switzerland 33,000 CHF Credit Suisse Group AG 751,408 2.87 47,300 CHF UBS AG 733,694 2.81 Total - Switzerland 1,485,102 5.68 United Kingdom 22,000 GBP BHP Billiton PLC 514,798 1.97 47,000 GBP Compass Group PLC 538,634 2.06 32,000 GBP Prudential PLC 526,119 2.01 9,000 GBP Reckitt Benckiser 536,626 2.05 Group PLC 14,000 GBP Rio Tinto PLC 583,086 2.23 Total - United Kingdom 2,699,264 10.33 United States 5,500 3M Co 536,520 2.05 18,600 Abbott Laboratories 535,719 2.05 1,800 Amazon.com Inc 471,911 1.81 8,600 American Express Co 568,373 2.17 2,200 BlackRock Inc 485,572 1.86 13,500 Citigroup Inc 475,332 1.82 8,700 CME Group Inc/IL 464,999 1.78 11,000 Colgate-Palmolive 500,402 1.91 Co 7,200 Dover Corp 491,590 1.88 6,800 Ecolab Inc 530,500 2.03 24,000 EMC Corp/MA 458,227 1.75 9,500 Estee Lauder Cos Inc 473,504 1.81 640 Google Inc 563,310 2.16 9,000 NIKE Inc 510,227 1.95 9,200 QUALCOMM Inc 501,515 1.92 5,400 Rockwell Automation 480,278 1.84 Inc 5,800 Thermo Fisher 522,993 2.00 Scientific Inc 6,400 United Parcel Service 443,781 1.70 Inc 6,200 United Technologies 525,304 2.01 Corp 7,700 Viacom Inc 489,100 1.87 3,100 Visa Inc 507,124 1.94 7,800 Wells Fargo & Co 262,155 1.00 Total - United States 10,798,438 41.32 Russia 112,000 Gazprom OAO ADR 624,407 2.39 5,000 Lukoil OAO ADR 200,582 0.77 85,000 Rosneft OAO 417,912 1.60 Total - Russia 1,242,901 4.76 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 21,490,987 82.23 23,135,415 88.52 23,135,415 88.52 * Any deviations of the percentages of the net assets are due to rounding. 112
Vontobel Fund - Emerging s Debt Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from September 1, 2013 to February 28, 2014 Statement of Net Income from September 1, 2013 to February 28, 2014 Assets Investments in securities at market value 220,928,157 217,163,533 Cash at banks Receivable from foreign currencies Receivable from subscriptions Interest and dividends receivable 8,104,539 523 583,177 3,473,358 Receivable for investments sold 1,336,462 (9) Unrealised gain on forward foreign exchange contracts Total Assets 790,788 231,452,380 Liabilities Bank overdraft 166,457 Payable for redemptions 103,405 Payable for investments purchased 2,820,242 Payable on foreign currencies 525 (9) Unrealised loss on futures 251,507 Audit fees, printing and publishing expenses 1,538 (5) Service Fee payable 32,789 (4) Subscription Tax payable 13,946 (3) Management Fee payable 156,661 Other liabilities 31,213 Total Liabilities 3,578,283 Total net assets at the end of the period 227,874,097 Net assets at the beginning of the period 174,260,030 Net investment income 5,014,014 Change in unrealised appreciation/depreciation on: Investments 12,635,034 Futures -458,543 Forward foreign exchange contracts 1,981,645 Net realised gain/loss on investments -3,714,344 Net realised gain/loss on forward foreign exchange contracts 2,077,348 Net realised gain/loss on currency exchange -129,868 Net realised gain/loss on futures 363,802 Increase/Decrease in net assets resulting from operations 17,769,088 Subscriptions of shares 110,748,659 Redemptions of shares -74,903,680 Total net assets at the end of the period 227,874,097 Income Net interest on bonds 6,607,531 Net dividends 24,696 Other income 155 Total income 6,632,382 (3) Expenses Management Fees 1,061,344 Audit fees, printing and publishing expenses 12,896 (4) Subscription tax 47,356 Bank interest 3,140 (5) Service Fees 268,299 (8) Other Fees payable 225,333 Total Expenses 1,618,368 Net investment income 5,014,014 113
Vontobel Fund - Emerging s Debt Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds Argentina 2,534,360 Argentine Republic 7.820% 31.12.2033 2,578,013 1.13 Government International Bond 10 1,000,000 Argentine Republic 2.500% 30.09.2038 384,750 0.17 Government International Bond 05 Total - Argentina 2,962,763 1.30 Armenia 500,000 Republic of Armenia 6.000% 30.09.2020 516,260 0.23 13 Total - Armenia 516,260 0.23 Azerbaijan 1,000,000 State Oil Co of the 5.450% 09.02.2017 1,060,500 0.47 Azerbaijan Republic 12 Total - Azerbaijan 1,060,500 0.47 Bermuda Islands 800,000 Bermuda Government 5.603% 20.07.2020 879,688 0.39 International Bond 10 250,000 Bermuda Government 4.138% 03.01.2023 242,435 0.11 International Bond 12 4,000,000 Meiya Power Co Ltd 4.000% 19.08.2018 4,001,200 1.76 13 500,000 Qtel International 3.875% 31.01.2028 459,020 0.20 Finance Ltd 13 Total - Bermuda Islands 5,582,343 2.45 Bolivia 1,300,000 Bolivian Government 5.950% 22.08.2023 1,326,000 0.58 International Bond 13 Total - Bolivia 1,326,000 0.58 Brazil 1,000,000 Banco Nacional de 5.750% 26.09.2023 1,020,500 0.45 Desenvolvimento Economico e Social 13 300,000 Brazilian Government 4.250% 07.01.2025 288,534 0.13 International Bond 13 Total - Brazil 1,309,034 0.57 Bulgaria 3,000,000 Bulgarian Energy 4.250% 07.11.2018 4,093,977 1.80 Holding EAD 13 Total - Bulgaria 4,093,977 1.80 Canada 2,500,000 Nexen Energy ULC 5.875% 10.03.2035 2,771,350 1.22 05 Total - Canada 2,771,350 1.22 Cayman Islands 1,500,000 Amber Circle Funding 3.250% 04.12.2022 1,384,860 0.61 Ltd 12 2,000,000 Saudi Electricity 5.060% 08.04.2043 1,886,700 0.83 Global Sukuk Co 2 13 1,000,000 Vale Overseas Ltd 04 8.250% 17.01.2034 1,206,420 0.53 Total - Cayman Islands 4,477,980 1.97 Chile 3,635,000 Banco del Estado de 3.875% 08.02.2022 3,627,257 1.59 Chile 12 Total - Chile 3,627,257 1.59 Colombia 5,155,000 Colombia 10.375% 28.01.2033 7,629,555 3.35 Government International Bond 03 800,000 Ecopetrol SA 09 7.625% 23.07.2019 962,640 0.42 3,500,000 Ecopetrol SA 13 7.375% 18.09.2043 3,964,415 1.74 Total - Colombia 12,556,610 5.51 Croatia 1,000,000 Zagrebacki Holding 5.500% 10.07.2017 1,193,410 0.52 doo 07 750,000 Croatia Government 6.625% 14.07.2020 824,775 0.36 International Bond 10 Total - Croatia 2,018,185 0.89 Dominican Republic 2,000,000 Dominican Republic 8.625% 20.04.2027 2,206,920 0.97 International Bond 06 200,000 Dominican Republic 6.600% 28.01.2024 204,138 0.09 International Bond 13 Total - Dominican Republic 2,411,058 1.06 El Salvador 2,000,000 El Salvador 7.650% 15.06.2035 1,938,640 0.85 Government International Bond 05 Total - El Salvador 1,938,640 0.85 Georgia 1,500,000 Georgian Railway JSC 7.750% 11.07.2022 1,617,150 0.71 12 Total - Georgia 1,617,150 0.71 Ghana 750,000 Republic of Ghana 13 7.875% 07.08.2023 702,750 0.31 Total - Ghana 702,750 0.31 Honduras 500,000 Honduras 7.500% 15.03.2024 491,395 0.22 Government International Bond 13 Total - Honduras 491,395 0.22 Hong Kong 1,720,000 MCC Holding Hong 4.875% 29.07.2016 1,715,786 0.75 Kong Corp Ltd 11 Total - Hong Kong 1,715,786 0.75 * Any deviations of the percentages of the net assets are due to rounding. 114
Vontobel Fund - Emerging s Debt Portfolio as at February 28, 2014 India 250,000 Indian Oil Corp Ltd 5.750% 01.08.2023 254,180 0.11 13 Total - India 254,180 0.11 Indonesia 400,000 Indonesia 8.500% 12.10.2035 508,196 0.22 Government International Bond 05 2,000,000 Indonesia 3.375% 15.04.2023 1,800,720 0.79 Government International Bond 13 500,000 Indonesia 6.750% 15.01.2044 539,710 0.24 Government International Bond 14 2,000,000 Pertamina Persero PT 6.500% 27.05.2041 1,848,680 0.81 11 3,000,000 Pertamina Persero PT 6.000% 03.05.2042 2,623,710 1.15 12 2,600,000 Pertamina Persero PT 5.625% 20.05.2043 2,173,808 0.95 13 Total - Indonesia 9,494,824 4.17 Ireland 1,000,000 Vnesheconombank 4.224% 21.11.2018 997,740 0.44 Via VEB Finance PLC 13 1,500,000 Vnesheconombank 5.942% 21.11.2023 1,489,455 0.65 Via VEB Finance PLC 13 Total - Ireland 2,487,195 1.09 Kazakhstan 1,000,000 KazAgro National 4.625% 24.05.2023 909,860 0.40 Management Holding JSC 13 2,000,000 KazMunayGas 5.750% 30.04.2043 1,751,320 0.77 National Co JSC 13 Total - Kazakhstan 2,661,180 1.17 Latvia 1,000,000 Republic of Latvia 12 2.750% 12.01.2020 975,870 0.43 1,000,000 Republic of Latvia 12 5.250% 22.02.2017 1,098,500 0.48 Total - Latvia 2,074,370 0.91 Lithuania 1,250,000 Lithuania 3.375% 22.01.2024 1,788,417 0.78 Government International Bond 14 Total - Lithuania 1,788,417 0.78 Luxembourg 1,000,000 Gazprom OAO Via 8.625% 28.04.2034 1,184,450 0.52 Gaz Capital SA 04 500,000 MOL Group Finance 6.250% 26.09.2019 527,380 0.23 SA 12 3,000,000 Russian Agricultural 5.100% 25.07.2018 3,038,340 1.33 Bank OJSC Via RSHB Capital SA 14 4,000,000 Sberbank of Russia 5.500% 26.02.2024 3,964,920 1.74 Via SB Capital SA 14 FRN Total - Luxembourg 8,715,090 3.82 Mexico 2,000,000 Comision Federal de 4.875% 15.01.2024 2,033,940 0.89 Electricidad 13 1,000,000 Mexico Government 6.750% 27.09.2034 1,216,780 0.53 International Bond 04 5,000,000 Mexico Government 4.000% 02.10.2023 5,070,000 2.22 International Bond 13 500,000 Petroleos Mexicanos 6.375% 23.01.2045 528,585 0.23 14 Total - Mexico 8,849,305 3.88 Mongolia 2,500,000 Development Bank of 5.750% 21.03.2017 2,341,400 1.03 Mongolia LLC 12 1,000,000 Mongolia 5.125% 05.12.2022 803,290 0.35 Government International Bond 12 Total - Mongolia 3,144,690 1.38 Morocco 2,250,000 Morocco Government 4.500% 05.10.2020 3,262,066 1.43 International Bond 10 Total - Morocco 3,262,066 1.43 Namibia 4,750,000 Namibia International 5.500% 03.11.2021 4,909,980 2.15 Bonds 11 Total - Namibia 4,909,980 2.15 Netherlands 10,000,000 BRL JP Morgan Structured 10.000% 13.03.2014 Products BV 13 4,140,747 1.82 3,500,000 Kazakhstan Temir 6.950% 10.07.2042 3,522,120 1.55 Zholy Finance BV 12 Total - Netherlands 7,662,867 3.36 Panama 6,250,000 Panama Government 6.700% 26.01.2036 7,227,813 3.17 International Bond 06 Total - Panama 7,227,813 3.17 Peru 500,000 Peruvian Government 8.750% 21.11.2033 725,015 0.32 International Bond 03 1,000,000 Peruvian Government 7.350% 21.07.2025 1,284,450 0.56 International Bond 05 1,000,000 Peruvian Government 6.550% 14.03.2037 1,190,030 0.52 International Bond 07 Total - Peru 3,199,495 1.40 Philippines 800,000 Philippine 10.625% 16.03.2025 1,249,784 0.55 Government International Bond 00 * Any deviations of the percentages of the net assets are due to rounding. 115
Vontobel Fund - Emerging s Debt Portfolio as at February 28, 2014 1,000,000 Philippine 9.500% 02.02.2030 1,551,380 0.68 Government International Bond 05 4,000,000 Power Sector Assets 9.625% 15.05.2028 5,650,000 2.48 & Liabilities Management Corp 03 Total - Philippines 8,451,164 3.71 Poland 1,000,000 Poland Government 3.000% 17.03.2023 939,750 0.41 International Bond 12 Total - Poland 939,750 0.41 Qatar 1,500,000 Qatar Government 9.750% 15.06.2030 2,343,915 1.03 International Bond 00 Total - Qatar 2,343,915 1.03 Romania 6,000,000 Romanian 4.625% 18.09.2020 8,885,546 3.90 Government International Bond 13 Total - Romania 8,885,546 3.90 Russia 4,000,000 Russian Foreign Bond 12.750% 24.06.2028 - Eurobond 98 6,787,920 2.98 Total - Russia 6,787,920 2.98 Serbia 500,000 SERBIA 11 7.250% 28.09.2021 559,835 0.25 Total - Serbia 559,835 0.25 South Africa 400,000 Transnet SOC Ltd 12 4.000% 26.07.2022 364,792 0.16 Total - South Africa 364,792 0.16 Sri Lanka 2,000,000 National Savings Bank 8.875% 18.09.2018 2,194,980 0.96 13 3,250,000 Sri Lanka 5.875% 25.07.2022 3,233,165 1.42 Government International Bond 12 Total - Sri Lanka 5,428,145 2.38 Trinidad and Tobago 1,934,458 Petroleum Co of 6.000% 08.05.2022 2,073,952 0.91 Trinidad & Tobago Ltd 07 Total - Trinidad and Tobago 2,073,952 0.91 Turkey 3,600,000 Turkey Government 5.125% 18.05.2020 5,340,078 2.34 International Bond 10 1,500,000 Export Credit Bank of 5.875% 24.04.2019 1,542,900 0.68 Turkey 12 500,000 Turkey Government 6.750% 30.05.2040 518,975 0.23 International Bond 10 Total - Turkey 7,401,953 3.25 Ukraine 1,500,000 National JSC 9.500% 30.09.2014 1,351,215 0.59 Naftogaz of Ukraine 09 1,750,000 Ukraine Government 6.875% 23.09.2015 1,595,633 0.70 International Bond 10 1,500,000 Ukraine Government 6.250% 17.06.2016 1,349,280 0.59 International Bond 11 Total - Ukraine 4,296,128 1.89 United Arab Emirates 500,000 Ruwais Power Co 6.000% 31.08.2036 547,790 0.24 PJSC 13 Total - United Arab Emirates 547,790 0.24 United Kingdom 2,250,000 Ukreximbank Via Biz 8.750% 22.01.2018 1,735,358 0.76 Finance PLC 13 Total - United Kingdom 1,735,358 0.76 United States 2,000,000 Pemex Project 6.625% 15.06.2035 2,191,020 0.96 Funding Master Trust 06 Total - United States 2,191,020 0.96 Uruguay 1,000,000 Uruguay Government 7.625% 21.03.2036 1,243,780 0.55 International Bond 06 1,000,000 Uruguay Government 4.500% 14.08.2024 1,019,630 0.45 International Bond 13 Total - Uruguay 2,263,410 0.99 Venezuela, Bolivarian Republic Of 5,735,000 CA La Electricidad de 8.500% 10.04.2018 3,914,654 1.72 Caracas 08 500,000 Corp Andina de 4.375% 15.06.2022 514,525 0.23 Fomento 12 5,500,000 Petroleos de 5.250% 12.04.2017 3,949,715 1.73 Venezuela SA 07 1,500,000 Petroleos de 5.375% 12.04.2027 817,125 0.36 Venezuela SA 07 500,000 Petroleos de 5.125% 28.10.2016 376,680 0.17 Venezuela SA 09 1,500,000 Venezuela 7.000% 01.12.2018 1,076,295 0.47 Government International Bond 03 500,000 Venezuela 7.650% 21.04.2025 322,515 0.14 Government International Bond 05 2,500,000 Venezuela 9.000% 07.05.2023 1,759,125 0.77 Government International Bond 08 1,000,000 Venezuela 9.250% 07.05.2028 703,030 0.31 Government International Bond 08 1,000,000 Venezuela Government International Bond 09 7.750% 13.10.2019 714,680 0.31 * Any deviations of the percentages of the net assets are due to rounding. 116
Vontobel Fund - Emerging s Debt Portfolio as at February 28, 2014 2,000,000 Venezuela 11.750% 21.10.2026 1,606,300 0.70 Government International Bond 11 Total - Venezuela, Bolivarian Republic Of 15,754,644 6.91 Virgin Islands 2,500,000 Sinopec Group 4.375% 17.10.2023 2,507,600 1.10 Overseas Development 2013 Ltd 13 Total - Virgin Islands 2,507,600 1.10 Mozambique 500,000 EMATUM Via 6.305% 11.09.2020 466,640 0.20 Mozambique EMATUM Finance 2020 BV 13 Total - Mozambique 466,640 0.20 Netherlands 2,000,000 Majapahit Holding BV 7.875% 29.06.2037 2,182,700 0.96 07 Total - Netherlands 2,182,700 0.96 Total - Bonds Total - Transferable securities admitted to an official exchange 189,443,430 83.14 189,443,430 83.14 Panama 936,448 ENA Norte Trust 12 4.950% 25.04.2023 922,823 0.40 Total - Panama 922,823 0.40 Transferable securities and money market instruments dealt in on another regulated market Bonds Bermuda Islands 1,000,000 Bermuda Government 4.854% 06.02.2024 1,005,510 0.44 International Bond 13 Total - Bermuda Islands 1,005,510 0.44 Cayman Islands 8,000,000 Brazil Minas SPE via 5.333% 15.02.2028 7,659,120 3.36 State of Minas Gerais 13 Total - Cayman Islands 7,659,120 3.36 Costa Rica 500,000 Instituto 6.375% 15.05.2043 424,930 0.19 Costarricense de Electricidad 13 Total - Costa Rica 424,930 0.19 Peru 1,000,000 Cia Minera Ares SAC 7.750% 23.01.2021 1,029,810 0.45 14 Total - Peru 1,029,810 0.45 Vietnam 1,296,000 Vietnam Joint Stock 8.000% 17.05.2017 1,371,207 0.60 Commercial Bank for Industry and Trade 12 Total - Vietnam 1,371,207 0.60 Total - Bonds Total - Transferable securities and money market instruments dealt in on another regulated market Total - Investment in securities 25,180,643 11.05 25,180,643 11.05 217,163,533 95.30 Dominican Republic 2,295,251 Dominican Republic 9.040% 23.01.2018 2,893,148 1.27 International Bond 05 Total - Dominican Republic 2,893,148 1.27 Guatemala 1,000,000 Guatemala 4.875% 13.02.2028 941,940 0.41 Government Bond 13 Total - Guatemala 941,940 0.41 Ireland 1,000,000 International Bank of 7.200% 31.10.2016 997,000 0.44 Azerbaijan OJSC Via Rubrika Finance Co Ltd 13 Total - Ireland 997,000 0.44 Malaysia 5,000,000 1MDB Global 4.400% 09.03.2023 4,736,750 2.08 Investments Ltd 13 500,000 Petroliam Nasional 7.750% 15.08.2015 549,065 0.24 Bhd 95 Total - Malaysia 5,285,815 2.32 * Any deviations of the percentages of the net assets are due to rounding. 117
Vontobel Fund - Pure Dividend Strategy Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from October 21, 2013 to February 28, 2014 Statement of Net Income from October 21, 2013 to February 28, 2014 Assets Investments in securities at market value 45,169,247 45,906,619 Cash at banks Receivable from foreign currencies Receivable from subscriptions 2,784,759 50 16,703 Interest and dividends receivable 63,351 (9) Unrealised gain on forward foreign exchange contracts Total Assets 337,337 49,108,819 Liabilities Bank overdraft 12,786 Payable for redemptions 242,682 Payable on foreign currencies 51 (9) Unrealised loss on futures 172,812 Audit fees, printing and publishing expenses 803 (5) Service Fee payable 8,448 (4) Subscription Tax payable 2,328 (3) Management Fee payable 41,686 Other liabilities 3,771 Total Liabilities 485,367 Total net assets at the end of the period 48,623,452 Net assets at the beginning of the period 0 Net investment loss on investments -108,299 Change in unrealised appreciation/depreciation on: Investments 737,372 Futures -172,812 Forward foreign exchange contracts 337,337 Net realised gain/loss on investments -69,614 Net realised gain/loss on forward foreign exchange contracts -240,845 Net realised gain/loss on currency exchange 398,751 Net realised gain/loss on futures -247,756 Increase/Decrease in net assets resulting from operations 634,134 Subscriptions of shares 55,648,078 Redemptions of shares -7,658,760 Total net assets at the end of the period 48,623,452 Income Bank interest 677 Net dividends 278,867 Other income 32 Total income 279,576 (3) Expenses Management Fees 198,724 Audit fees, printing and publishing expenses 2,709 (4) Subscription tax 5,942 Bank interest 167 (5) Service Fees 47,603 (8) Other Fees payable 132,730 Total Expenses 387,875 Net investment loss on investments -108,299 118
Vontobel Fund - Pure Dividend Strategy Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds United States 2,200,000 United States 0.000% 26.06.2014 2,199,631 4.52 Treasury Bill 13 2,200,000 United States 0.000% 24.07.2014 2,199,585 4.52 Treasury Bill 13 2,200,000 United States 0.000% 29.05.2014 2,199,747 4.52 Treasury Bill 13 2,200,000 United States 0.000% 21.08.2014 2,199,269 4.52 Treasury Bill 13 2,200,000 United States 0.000% 18.09.2014 2,199,118 4.52 Treasury Bill 13 2,200,000 United States 0.000% 16.10.2014 2,198,994 4.52 Treasury Bill 13 2,200,000 United States 0.000% 27.03.2014 2,199,938 4.52 Treasury Bill 13 Total - United States 15,396,282 31.66 Total - Bonds 15,396,282 31.66 Shares Australia 206,000 AUD Myer Holdings Ltd 482,968 0.99 25,700 AUD Orica Ltd 555,163 1.14 106,000 AUD Telstra Corp Ltd 479,013 0.99 Total - Australia 1,517,145 3.12 Austria 11,000 Oesterreichische Post AG 549,138 1.13 Total - Austria 549,138 1.13 Canada 19,200 CAD ARC Resources Ltd 518,094 1.07 26,000 CAD Canadian Oil Sands 495,831 1.02 Ltd 18,300 CAD Husky Energy Inc 556,629 1.14 19,000 CAD Mullen Group Ltd 470,816 0.97 15,600 CAD Pembina Pipeline 562,443 1.16 Corp 20,800 CAD Shaw 481,221 0.99 Communications Inc 32,600 CAD Transcontinental Inc 439,104 0.90 Total - Canada 3,524,138 7.25 China 460,000 HKD Huaneng Power International Inc 410,745 0.84 Total - China 410,745 0.84 Finland 32,000 Kemira OYJ 495,888 1.02 16,000 Kesko OYJ 716,430 1.47 34,000 UPM-Kymmene OYJ 617,982 1.27 Total - Finland 1,830,300 3.76 France 17,500 Bourbon SA 514,945 1.06 20,500 GDF Suez 526,349 1.08 37,000 Orange SA 463,449 0.95 8,500 Total SA 552,122 1.14 Total - France 2,056,865 4.23 Germany 28,000 E.ON SE 534,450 1.10 20,000 Freenet AG 676,625 1.39 19,000 Hamburger Hafen 514,078 1.06 und Logistik AG 4,000 Hugo Boss AG 533,069 1.10 11,000 Metro AG 456,463 0.94 Total - Germany 2,714,685 5.58 Italy 21,000 Eni SpA 506,993 1.04 105,000 Terna Rete Elettrica Nazionale SpA 536,577 1.10 Total - Italy 1,043,569 2.15 Japan 15,800 JPY Canon Inc 489,488 1.01 32,200 JPY NTT DOCOMO Inc 536,640 1.10 54,700 JPY TonenGeneral Sekiyu KK 481,268 0.99 Total - Japan 1,507,397 3.10 Jersey 47,000 GBP UBM PLC 565,139 1.16 Total - Jersey 565,139 1.16 Netherlands 12,000 Ziggo NV 549,421 1.13 Total - Netherlands 549,421 1.13 Norway 20,000 NOK Telenor ASA 442,664 0.91 Total - Norway 442,664 0.91 Sweden 11,700 SEK Hennes & Mauritz AB 528,227 1.09 Total - Sweden 528,227 1.09 United Kingdom 70,700 GBP BP PLC 597,626 1.23 9,400 GBP British American 511,972 1.05 Tobacco PLC 726,000 GBP Cable & Wireless 663,692 1.36 Communications PLC 108,000 GBP Electrocomponents 486,687 1.00 PLC 168,000 GBP Ladbrokes PLC 469,895 0.97 16,900 GBP Severn Trent PLC 523,955 1.08 44,300 GBP United Utilities 578,702 1.19 Group PLC 112,000 GBP WM Morrison Supermarkets PLC 441,647 0.91 Total - United Kingdom 4,274,175 8.79 * Any deviations of the percentages of the net assets are due to rounding. 119
Vontobel Fund - Pure Dividend Strategy Portfolio as at February 28, 2014 United States 15,400 CenturyLink Inc 481,404 0.99 29,700 Corning Inc 572,319 1.18 12,500 Dow Chemical 608,875 1.25 Co/The 8,500 EI du Pont de 566,270 1.16 Nemours & Co 18,200 Exelon Corp 553,462 1.14 18,200 Harsco Corp 457,184 0.94 19,400 Hawaiian Electric 492,954 1.01 Industries Inc 9,800 IDACORP Inc 550,662 1.13 48,800 Intersil Corp 620,736 1.28 17,500 KAR Auction Services 545,300 1.12 Inc 26,500 National CineMedia 407,040 0.84 Inc 11,200 New Jersey 504,112 1.04 Resources Corp 22,000 Olin Corp 576,180 1.18 8,900 Pinnacle West 495,285 1.02 Capital Corp 31,700 Steelcase Inc 471,379 0.97 13,200 UIL Holdings Corp 511,104 1.05 60,800 Wendy's Co/The 582,464 1.20 Total - United States 8,996,730 18.50 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 30,510,337 62.75 45,906,619 94.41 45,906,619 94.41 * Any deviations of the percentages of the net assets are due to rounding. 120
Vontobel Fund - Pure Momentum Strategy Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from October 21, 2013 to February 28, 2014 Statement of Net Income from October 21, 2013 to February 28, 2014 Assets Investments in securities at market value 24,030,043 24,856,664 Cash at banks Receivable from foreign currencies Receivable from subscriptions 3,883,027 Interest and dividends receivable 50,397 (9) Unrealised gain on forward foreign exchange contracts 287,003 Unrealised gain on futures Total Assets 35,571 29,116,464 Liabilities Bank overdraft 115,786 Payable for redemptions 47,753 Payable on foreign currencies 162 Audit fees, printing and publishing expenses 473 (5) Service Fee payable 5,005 (4) Subscription Tax payable 2,163 (3) Management Fee payable 30,476 (3) Performance Fee payable 9,400 Other liabilities 3,412 Total Liabilities 214,630 Total net assets at the end of the period 28,901,834 Net assets at the beginning of the period 0 Net investment loss on investments -251,172 Change in unrealised appreciation/depreciation on: Investments 826,619 Futures 35,571 Forward foreign exchange contracts 287,003 Net realised gain/loss on investments -3,856 Net realised gain/loss on forward foreign exchange contracts -115,008 Net realised gain/loss on currency exchange 111,644 Net realised gain/loss on futures -521,098 Increase/Decrease in net assets resulting from operations 369,703 Subscriptions of shares 34,295,535 Redemptions of shares -5,763,404 Total net assets at the end of the period 28,901,834 Income Bank interest 541 Net dividends 51,047 Other income 19 Total income 51,607 (3) Expenses Management Fees 144,768 (3) Performance Fee 9,201 Audit fees, printing and publishing expenses 1,589 (4) Subscription tax 5,244 Bank interest 1,367 (5) Service Fees 27,895 (8) Other Fees payable 112,715 Total Expenses 302,779 Net investment loss on investments -251,172 162 3,640 121
Vontobel Fund - Pure Momentum Strategy Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds United States 2,119,800 United States 0.000% 18.09.2014 2,118,950 7.33 Treasury Bill 13 2,119,800 United States 0.000% 24.07.2014 2,119,400 7.33 Treasury Bill 13 2,119,800 United States 0.000% 16.10.2014 2,118,831 7.33 Treasury Bill 13 2,119,800 United States 0.000% 26.06.2014 2,119,444 7.33 Treasury Bill 13 2,119,800 United States 0.000% 21.08.2014 2,119,095 7.33 Treasury Bill 13 Total - United States 10,595,721 36.66 Total - Bonds 10,595,721 36.66 Shares Germany 2,481 BASF SE 285,850 0.99 3,064 Daimler AG 285,734 0.99 7,781 Deutsche Post AG 292,418 1.01 6,939 Evonik Industries AG 277,739 0.96 8,758 Freenet AG 296,294 1.03 2,422 Henkel AG & Co 270,455 0.94 KGaA 5,625 KUKA AG 280,887 0.97 Total - Germany 1,989,377 6.88 Korea, Republic Of 1,493 KRW ASIA Holdings Co Ltd 187,458 0.65 11,167 KRW Asia Paper 205,084 0.71 Manufacturing Co Ltd 392 KRW BYC Co Ltd 75,848 0.26 31,560 KRW Cheju Bank Ltd 176,839 0.61 8,113 KRW Chongkundang 366,031 1.27 Holdings Corp 3,829 KRW Chosun Refractories 288,816 1.00 Co Ltd 2,978 KRW Dae Han Flour Mills 401,816 1.39 Co Ltd 15,265 KRW Daegu Department 283,921 0.98 Store 67,192 KRW Daehan Steel Co Ltd 445,119 1.54 42,135 KRW Daesung Holdings 444,156 1.54 Co Ltd 124,664 KRW Dongbu Securities Co 429,861 1.49 Ltd 1,739 KRW Dongil Industries Co 81,961 0.28 Ltd 133,323 KRW Dongil Paper 276,081 0.96 Manufacturing Co Ltd 198,727 KRW Dongkook Industrial 458,070 1.58 Co Ltd 1,819 KRW E1 Corp 110,786 0.38 84,255 KRW Hanjin Shipping 341,840 1.18 Holdings Co Ltd 21,468 KRW Hankook Tire 432,484 1.50 Worldwide Co Ltd 30,100 KRW Hanwha General 136,365 0.47 Insurance Co Ltd 18,261 KRW Husteel Co Ltd 342,211 1.18 5,800 KRW Hwacheon Machine 281,512 0.97 Tool Co Ltd 1,432 KRW Hwacheon 37,302 0.13 Machinery Co Ltd 65,084 KRW HwaSung Industrial 555,562 1.92 Co Ltd 1,053 KRW Hyundai Hysco Co 42,278 0.15 Ltd 679 KRW Ilsung 48,289 0.17 Pharmaceuticals Co Ltd 4,201 KRW Industrial Bank of 53,534 0.19 Korea 93,471 KRW Inzi Controls Co Ltd 415,140 1.44 9,197 KRW ISU Chemical Co Ltd 120,646 0.42 18,226 KRW Korea Export 356,925 1.23 Packaging Industrial Co Ltd 24,872 KRW Kumkang Kind Co 617,584 2.14 Ltd 36,790 KRW Kyung Nong Corp 149,092 0.52 1,970 KRW S&T Holdings Co Ltd 28,427 0.10 19,268 KRW Sajo Seafood Co Ltd 92,076 0.32 35,026 KRW Samho Development 101,248 0.35 Co Ltd 45 KRW Samhwa Crown & 1,113 0.00 Closure Co Ltd 2,594 KRW Samyang Genex Co 229,690 0.79 Ltd 6,042 KRW Samyang Holdings 414,977 1.44 Corp 1,192 KRW SeAH Holdings Corp 111,355 0.39 3,321 KRW SeAH Steel Corp 334,516 1.16 7,598 KRW Sempio Foods Co 186,882 0.65 72 KRW Shin Young Wacoal 7,050 0.02 Inc 18,023 KRW Shindaeyang Paper 445,831 1.54 Co Ltd 6,697 KRW Shinyoung Securities 251,004 0.87 Co Ltd 28,322 KRW Sungchang Enterprise 541,369 1.87 Holdings Ltd 81,600 KRW Taeyoung 446,522 1.54 Engineering & Construction Co Ltd 23,085 KRW Tailim Packaging 45,208 0.16 Industrial Co Ltd 13,322 KRW TS Corp/Korea 337,657 1.17 Total - Korea, Republic Of 11,737,538 40.61 North Korea 126,934 KRW Keangnam Enterprises Ltd 534,028 1.85 Total - North Korea 534,028 1.85 Total - Shares Total - Transferable securities admitted to an official exchange Total - Investment in securities 14,260,943 49.34 24,856,664 86.00 24,856,664 86.00 * Any deviations of the percentages of the net assets are due to rounding. 122
Vontobel Fund - Pure Premium Strategy Notes Cost Statement of Net Assets as at February 28, 2014 Statement of Operations and Changes in Net Assets from December 9, 2013 to February 28, 2014 Statement of Net Income from December 9, 2013 to February 28, 2014 Assets Investments in securities at market value 37,475,912 37,488,502 Cash at banks Receivable from foreign currencies 6,721,010 Interest and dividends receivable -21 (9) Unrealised gain on forward foreign exchange contracts 394,808 (9) Options contracts at market value 430 Total Assets 44,604,735 Liabilities Payable for redemptions 178,610 Payable on foreign currencies 6 (9) Unrealised loss on options 1,270 Audit fees, printing and publishing expenses 465 (5) Service Fee payable 7,786 (4) Subscription Tax payable 2,858 (3) Management Fee payable 44,515 Other liabilities 2,958 Total Liabilities 238,468 Total net assets at the end of the period 44,366,267 Net assets at the beginning of the period 0 Net investment loss on investments -197,927 Change in unrealised appreciation/depreciation on: Investments 12,590 Forward foreign exchange contracts 394,808 Options 270 Net realised gain/loss on forward foreign exchange contracts -187,115 Net realised gain/loss on currency exchange 104,085 Net realised gain/loss on options -188,766 Increase/Decrease in net assets resulting from operations -62,055 Subscriptions of shares 45,484,361 Redemptions of shares -1,056,039 Total net assets at the end of the period 44,366,267 Income Other income 30 Total income 30 (3) Expenses Management Fees 130,894 Audit fees, printing and publishing expenses 992 (4) Subscription tax 7,245 Bank interest 581 (5) Service Fees 23,262 (8) Other Fees payable 34,983 Total Expenses 197,957 Net investment loss on investments -197,927 6 123
Vontobel Fund - Pure Premium Strategy Portfolio as at February 28, 2014 Transferable securities admitted to an official exchange Bonds United States 3,750,000 United States 0.000% 26.06.2014 3,749,371 8.45 Treasury Bill 13 3,750,000 United States 0.000% 24.07.2014 3,749,292 8.45 Treasury Bill 13 3,750,000 United States 0.000% 21.08.2014 3,748,753 8.45 Treasury Bill 13 3,750,000 United States 0.000% 18.09.2014 3,748,497 8.45 Treasury Bill 13 3,750,000 United States 0.000% 13.11.2014 3,747,676 8.45 Treasury Bill 13 3,750,000 United States 0.000% 24.04.2014 3,749,743 8.45 Treasury Bill 13 3,750,000 United States 0.000% 27.03.2014 3,749,894 8.45 Treasury Bill 13 3,750,000 United States 0.000% 29.05.2014 3,749,570 8.45 Treasury Bill 13 3,750,000 United States 0.000% 11.12.2014 3,747,421 8.45 Treasury Bill 13 3,750,000 United States 0.000% 16.10.2014 3,748,286 8.45 Treasury Bill 13 Total - United States 37,488,502 84.50 Total - Bonds Total - Transferable securities admitted to an official exchange Total - Investment in securities 37,488,502 84.50 37,488,502 84.50 37,488,502 84.50 * Any deviations of the percentages of the net assets are due to rounding. 124
Shares Summary Vontobel Fund - ISIN-Code Shares At the beginning of the year Subscribed Redeemed At the end of the year Swiss Money CHF A LU0120694640 CHF 142,622.259 20,468.448-49,895.600 113,195.107 B LU0120694996 CHF 1,348,296.168 238,947.077-365,529.723 1,221,713.522 R LU0420001835 CHF - 10.000-10.000 Euro Money A LU0120688915 91,665.825 26,883.601-40,229.123 78,320.303 B LU0120689640 1,068,352.279 147,779.341-446,577.184 769,554.436 C LU0137009238 30,216.547 1,611.211-8,107.677 23,720.081 I LU0278091037 356,507.991 47,136.348-108,312.931 295,331.408 R LU0420002130-10.000-10.000 US Dollar Money A LU0120690143 105,247.745 40,657.559-12,693.260 133,212.044 B LU0120690226 1,013,623.314 359,718.757-232,519.539 1,140,822.532 R LU0420002486-610.000-610.000 Swiss Franc Bond CHF A LU0035736726 CHF 224,436.526 12,419.820-19,662.107 217,194.239 B LU0035738771 CHF 1,369,624.664 94,979.411-911,514.799 553,089.276 C LU0137003116 CHF 48,649.406 3,143.470-15,720.463 36,072.413 I LU0278084768 CHF 197,502.766 1,291,480.073-76,766.379 1,412,216.460 R LU0996452701 CHF - 810.000-810.000 Euro Bond A LU0035744233 55,006.689 1,200.666-4,924.268 51,283.087 AM LU0571063014 727.620 1,026.353-306.494 1,447.479 B LU0035744829 179,632.926 5,016.165-24,521.272 160,127.819 I LU0278087357 112,431.025 296,578.780-58,462.081 350,547.724 R LU0996452024-410.000-410.000 Corporate Bond Mid Yield A LU0153585566 213,380.507 94,308.019-4,667.665 303,020.861 B LU0153585723 1,044,748.565 216,405.462-156,875.918 1,104,278.109 C LU0153585996 60,291.890 19,217.288-25,126.347 54,382.831 H LU0863290267 CHF 86,133.685 63,290.911-4,267.472 145,157.124 I LU0278087860 841,418.530 1,030,067.298-227,954.624 1,643,531.204 R LU0420003617 2,862.000 40.000-120.000 2,782.000 High Yield Bond AS LU0756125596 3,925.090 2,736.154-68.624 6,592.620 B LU0571066462 517,781.852 108,311.981-90,729.984 535,363.849 H LU0571067437 CHF 1,111,304.452 197,403.605-98,566.038 1,210,142.019 H LU0571067601 208,405.502 24,970.218-7,513.971 225,861.749 HI LU0571067866 CHF - 70,415.774-7,637.300 62,778.474 I LU0571066975 97,218.491 57,633.853-410.034 154,442.310 R LU0571088516-1,008.861-1,008.861 US Dollar Bond A LU0035744662 241,507.537 3,692.389-16,126.108 229,073.818 B LU0035745552 126,939.214 5,239.661-11,472.272 120,706.603 I LU0278091383 327,179.415 24,977.321-57,307.692 294,849.044 R LU0420003963 10.000 - - 10.000 Eastern European Bond A LU0080215030 673,495.157 6,845.566-38,989.449 641,351.274 AM LU0469618036 586,997.346 38,178.634-123,745.250 501,430.730 AM LU0571068591 2,179,812.168 341,742.844-470,832.895 2,050,722.117 B LU0080215204 400,118.963 10,685.684-132,511.056 278,293.591 C LU0137004601 11,025.339 9,745.896-9,010.545 11,760.690 I LU0278087431 122,712.204 65,695.138-32,128.602 156,278.740 R LU0420004268 760.000 10.000-670.000 100.00 Absolute Return Bond (CHF) CHF A LU0218908985 CHF 1,166,346.960 55,886.596-64,795.533 1,157,438.023 B LU0218909108 CHF 813,544.084 86,628.803-93,135.126 807,037.761 I LU0278084842 CHF 466,783.856 195,976.397-457,263.000 205,497.253 R LU0420004698 CHF 4,157.000 - - 4,157.000 S LU0571089084 CHF 10.000 - - 10.000 Absolute Return Bond () A LU0105717663 239,098.866 2,509.743-27,537.459 214,071.150 AM LU0571069219 3,175.364 1,669.663-3,859.878 985.149 B LU0105717820 710,736.421 134,603.540-235,012.192 610,327.769 C LU0137004866 36,645.395 1,983.448-10,942.664 27,686.179 H LU1028901913-710.000-710.000 HI LU1028902051-15,980.000-15,980.000 I LU0278087514 308,758.930 159,564.842-169,319.270 299,004.502 R LU0420005075 10.000 250.000-260.000 125
Shares Summary Vontobel Fund - ISIN-Code Shares At the beginning of Subscribed Redeemed At the end of the year the year Global Convertible Bond A LU0416932159 12,287.343 40,325.214-2,202.000 50,410.557 B LU0414968270 389,971.237 81,710.685-155,845.708 315,836.214 C LU0414968353 21,156.247 3,167.660-12,937.209 11,386.698 H LU0414968601 CHF 544,674.157 67,447.503-165,215.059 446,906.601 H LU0414968783 71,251.185 60,260.620-23,677.570 107,834.235 HI LU0469619943 CHF 315,176.874 137,181.314-22,047.403 430,310.785 I LU0414968437 126,619.355 307,259.458-8,282.317 425,596.496 R LU0996452610-271,542-271,542 Emerging s Bond A LU0563307551 296,990.218 1,701.576-41,802.943 256,888.851 Swiss Mid and Small Cap Equity European Mid and Small Cap Equity AM LU0563307635 84,238.679 8,198.572-37,313.185 55,124.066 B LU0563307718 310,079.618 46,814.154-100,084.205 256,809.567 B LU0752070267 CHF 146,790.635 14,931.151-50,678.777 111,043.009 B LU0752071745 164,698.261 20,603.932-55,433.603 129,868.590 C LU0563307809 22,363.293 26,602.861-25,441.051 23,525.103 H LU0563308369 CHF 827,500.895 71,474.491-206,705.246 692,270.140 H LU0563308443 294,292.298 32,419.781-211,324.787 115,387.292 HI LU0563308799 CHF 112,088.000 1,366.000-180.000 113,274.000 I LU0563307981 303,074.465 109,741.775-259,874.465 152,941.775 R LU0563308013 2,900.000 585.000-815.000 2,670.000 CHF A LU0129602552 CHF 112,673.357 13,045.852-14,628.474 111,090.735 B LU0129602636 CHF 623,212.484 110,261.292-112,933.487 620,540.289 I LU0278085229 CHF 455,251.674 440,055.469-374,471.546 520,835.597 R LU0420005661 CHF - 3,631.000-500.000 3,131.000 A LU0120692511 28,915.236 1,520.562-1,571.812 28,863.986 B LU0120694483 298,719.993 133,356.628-116,814.840 315,261.781 C LU0137005756 7,842.624 4,534.295-1,415.106 10,961.813 I LU0278089486 816,138.053 497,759.425-310,233.201 1,003,664.277 R LU0996452370-2,795.000-2,795.000 Japanese Equity JPY A LU0035748226 JPY 42,903.134 1,474.853-3,089.000 41,288.987 B LU0035748655 JPY 464,815.076 24,421.839-65,199.642 424,037.273 I LU0278094999 JPY 532,111.614 184,829.000-225,867.907 491,072.707 R LU0996453188 JPY - 18.000-18.000 China Stars Equity A LU0278091896 119,863.891 10,822.767-9,894.029 120,792.629 B LU0278091979 316,600.868 439,473.484-74,501.917 681,572.435 C LU0278092191 72,824.174 74,704.564-56,795.939 90,732.799 I LU0278092514 60,670.888 420,965.840-247,074.093 234,562.635 R LU0420007105 320.000 332.000-652.000 European Equity A LU0153585053 50,218.143 6,972.841-8,203.205 48,987.779 B LU0153585137 890,528.134 83,464.833-362,749.275 611,243.692 C LU0153585210 77,022.909 18,056.409-31,623.588 63,455.730 I LU0278085062 1,836,134.856 537,458.284-757,557.860 1,616,035.280 R LU0420007444 479.000 122.000-601.000 US Equity A LU0035763456 131,585.443 33,697.926-30,112.755 135,170.614 B LU0035765741 894,198.325 193,297.972-268,811.650 818,684.647 C LU0137005913 201,704.286 70,824.400-114,535.849 157,992.837 H LU0218912151 442,943.436 111,451.955-253,253.178 301,142.213 HI LU0368557038 320,247.463 115,010.127-155,469.797 279,787.793 I LU0278092605 5,197,671.507 855,559.969-1,308,848.910 4,744,382.566 N LU0897674072 5,325.643 17,480.009-1,450.047 21,355.605 R LU0420007790 368.000 - - 368.000 126
Shares Summary Vontobel Fund - ISIN-Code Shares At the beginning of Subscribed Redeemed At the end of the year the year Global Equity A LU0218910023 189,490.467 31,789.765-73,520.233 147,759.999 B LU0979498168 SEK - 10.000-10.000 B LU0218910536 2,346,001.478 836,072.341-496,415.742 2,685,658.077 C LU0218910965 164,895.122 30,018.558-29,111.891 165,801.789 H LU0218911690 859,720.893 177,881.656-266,972.657 770,629.892 H LU0971939599 SEK - 207.988-207.988 HC LU0333249364 116,760.764 10,229.204-39,452.766 87,537.202 HI LU0368555768 323,938.649 333,006.351-156,783.620 500,161.380 I LU0824095136 GBP 904,221.593 109,394.133-444,348.269 569,267.457 I LU0278093595 3,907,167.801 268,500.865-1,283,682.425 2,891,986.241 N LU0858753451 10.000 30,104.071-30,114.071 R LU0420007956 6,226.000 875,000-7,101.000 S LU0571091494 113,205.408 - -36,840.612 76,364.796 Global Equity (ex-us) A LU0129603287 77,747.679 6,565.408-29,754.799 54,558.288 B LU0129603360 306,903.858 19,547.623-29,067.598 297,383.883 H LU0219097184 81,243.647 3,328.772-10,695.137 73,877.282 HI LU0368556063 35,187.537 436.311-600.000 35,023.848 I LU0278093322 69,572.193 19,709.570-3,310.289 85,971.474 R LU0420008335 11.000 133.431-144.431 Emerging s Equity A LU0040506734 490,016.805 103,478.718-180,388.189 413,107.334 AHI LU0858753618 1,385,013.403 224,530.566-10.000 1,609,533.969 B LU0979494415 SEK - 2,048,350.843-2,048,350.843 B LU0040507039 2,161,003.118 252,163.690-676,011.566 1,737,155.242 C LU1021192403 SEK - 10.000-10.000 C LU0137006218 373,516.847 67,357.840-104,624.648 336,250.039 G LU0863298914 GBP 332,271.024 41,711.730-290,766.978 83,215.776 H LU0469618119 CHF 284,651.864 33,558.349-39,739.885 278,470.328 H LU0218912235 690,310.028 85,823.618-253,203.712 522,929.934 H LU0972976061 SEK - 10.000-10.000 HC LU0333249109 119,427.288 8,197.756-51,772.492 75,852.552 HI LU0469618382 CHF 137,374.731 4,300.000-3,624.880 138,049.851 HI LU0368556220 2,038,065.976 838,647.600-516,581.363 2,360,132.213 HS LU0773616858 CHF 666,335.690 - -10.000 666,325.690 I LU0787641983 GBP 149,867.309 6,849.971-10.000 156,707.280 I LU0278093082 12,667,575.424 1,796,063.383-3,583,647.912 10,879,990.895 N LU0858753535 75,436.688 117,978.428-56,352.197 137,062.919 R LU0420008509 10,015.288 514.000-10,529.288 S LU0209301448 2,099,935.047 348,405.560-124,230.067 2,324,110.540 Far East Equity A LU0084450369 62,770.891 27,577.824-9,837.993 80,510.722 B LU0084408755 1,027,905.176 40,337.765-208,571.363 859,671.578 C LU0137007026 17,394.387 3,399.770-5,913.241 14,880.916 H LU0218912409 65,232.055 1,341.410-9,543.413 57,030.052 HI LU0368556733 2,661.042 - -2,386.040 275.002 I LU0278091540 1,554,337.351 435,276.596-441,588.483 1,548,025.464 N LU0923573769 787,604.503 18,629.572-70,877.845 735,356.230 R LU0420008848 2,636.000 1,070.000-2,590.000 1,116.000 New Power A LU0138258404 357,118.983 73,131.193-72,168.539 358,081.637 B LU0138259048 802,362.913 275,899.028-144,887.592 933,374.349 C LU0138259550 28,078.631 77,828.109-4,786.438 101,120.302 C LU0571081347 2,453.978 19,780.240-3,945.459 18,288.759 H LU0469623622 CHF 147,632.642 14,817.888-12,719.704 149,730.826 H LU0469623978 GBP 444.500 653.753-1,098.253 H LU0469623895 55,039.580 4,867.907-4,548.074 55,359.413 I LU0278090906 140,988.836 451,409.297-177,853.997 414,544.136 N LU0952815248 10.000 117,904.000-1,629.000 116,285.000 R LU0420009143 1,540.000 43.059-1,583.059 127
Shares Summary Vontobel Fund - ISIN-Code Shares At the beginning of Subscribed Redeemed At the end of the year the year Clean Technology A LU0384405519 8,484.676 16,581.094-7,113.119 17,952.651 B LU0384405600 102,424.622 19,108.218-13,380.494 108,152.346 I LU0384405949 17,610.422 69,135.008-30,153.744 56,591.686 R LU0385068894 239.262 64.000-3.000 300.262 Future Resources A LU0384406087 18,318.581 1,121.572-5,871.346 13,568.807 Sustainable Asia (ex Japan) Equity Sustainable Emerging s Leaders B LU0384406160 621,109.165 31,689.825-148,653.000 504,145.990 C LU0384406244 15,577.729 2,359.981-2,280.105 15,657.605 C LU0571082402 6,913.812 3,845.592-2,831.443 7,927.961 H LU0469623382 CHF 17,595.421 914.006-2,068.900 16,440.527 I LU0384406327 134,586.403 13,128.217-55,769.638 91,944.982 N LU0952815594 10.000 896.000-16.000 890.000 R LU0385069272 6,628.292 158.940-625.000 6,162.232 A LU0384409180 34,518.221 8,810.443-33,146.000 10,182.664 B LU0384409263 65,643.997 11,479.927-27,055.158 50,068.766 H LU0384409693 26,465.103 2,342.888-3,751.747 25,056.244 HI LU0384409933 13,426.001 1,145.000-460.000 14,111.001 I LU0384410279 10.000 78,273.806-43,211.000 35,072.806 R LU0385070528 637.129 - - 637.129 A LU0571085330 60,191.206 96.794-3,895.933 56,392.067 B LU0571085413 871,363.113 30,021.147-76,427.996 824,956.264 I LU0571085686 480,453.005 21,112.399-148,600.086 352,965.318 R LU0571092898 943.966 - - 943.966 Sustainable Global Leaders A LU0848325295 42,838.166 1,036.918-3,765.258 40,109.826 Defensive Balanced Portfolio (CHF) Defensive Balanced Portfolio () B LU0848325378 587,492.756 14,617.169-81,275.928 520,833.997 H LU0848326186 CHF 30,884.229 6,121.600-2,787.000 34,218.829 H LU0848326269 37,458.680 6,205.000-3,680.000 39,983.680 I LU0848325618 238,678.213 173,966.728-25,035.845 387,609.096 R LU0848325881 816.393 13,394.763-402.385 13,808.771 S LU0848325964 90,985.000 1,130.000-5,790.000 86,325.000 CHF A LU0105718398 CHF 20,758.869 - - 20,758.869 B LU0105718471 CHF 135,129.685 - - 135,129.685 A LU0067845692 47,602.529 - - 47,602.529 B LU0067846153 335,688.726 - - 335,688.726 C LU0137007612 3,340.533 - - 3,340.533 Belvista Commodity B LU0415414829 404,881.807 138,182.760-129,522.291 413,542.276 C LU0415415123 8,827.299 441.846-2,695.490 6,573.655 H LU0415415479 CHF 969,178.858 17,911.375-23,972.319 963,117.914 H LU0415415636 656,113.797 162,305.008-121,631.666 696,787.139 H LU0505242726 SEK 354,042.723 582,350.391-666,370.135 270,022.979 HI LU0415416287 CHF 28,474.084 - -14,500.000 13,974.084 HI LU0415416444 1,224,688.657 300,247.564-465,778.191 1,059,158.030 HI LU0505242999 SEK 10.000 - - 10.000 HS LU0692735565 CHF 346,723.332 - -10.000 346,713.332 I LU0415415800 729,151.282 338,169.709-519,756.533 547,564.458 R LU0415416790 8,425.316 - -200.000 8,225.316 S LU0571093516 893,434.650 - -10.000 893,424.650 Belvista Dynamic Commodity B LU0759371569 69,335.399 1,592.571-6,601.000 64,326.970 H LU0759371999 CHF 115,228.551 227.127-14,790.000 100,665.678 H LU0759372021 19,238.628 286.587-1,843.655 17,681.560 HI LU0759372450 CHF 64,892.000 - -13,614.000 51,278.000 HI LU0759372534 218,606.327 307,235.000-214,471.327 311,370.000 I LU0759372880 49,445.000 1,600.000-51,045.000 R LU0759372963-55.000-55.000 128
Shares Summary Vontobel Fund - ISIN-Code Shares At the beginning of Subscribed Redeemed At the end of the year the year Diversified Alpha UCITS B LU0505243021 182,473.000 - -139,112.000 43,361.000 H LU0505244003 CHF 1,092,337.400 238.000-588,156.812 504,418.588 H LU0505243880 132,880.000 350.000-45,049.086 88,180.914 HI LU0505244185 CHF 10.000 - - 10.000 HI LU0505243963 10.000 - - 10.000 I LU0505243450 96.710 - -86.710 10.000 R LU0505243708 1,480.000 - -1,470.000 10.000 Target Return () B LU0505244425 278,865.271 31,332.672-100,137.546 210,060.397 C LU0505244698 11,043.081 68.357-3,954.156 7,157.282 I LU0505244771 69,601.190 - -1,867.626 67,733.564 R LU0505244854-10.000-10.000 N LU0926439646 10.000 240.000-250.000 R LU0992847904-1,252.540-517.540 735.000 Robusta A LU0926438242-29,898.162-6,577.133 23,321.029 B LU0926438671-308,880.573-62,880.582 245,999.991 H LU0926438838 CHF - 188,383.047-37,666.628 150,716.419 H LU0926438911-1,400.000-1,400.000 HI LU0949381809 CHF - 10.000-10.000 HI LU0949389612-10.000-10.000 I LU0926438754-10.000-10.000 R LU0992851336-10.000-10.000 Robusta Dynamic A LU0926439059-32,210.000-32,210.000 B LU0926439133-46,265.911-2,725.000 43,540.911 H LU0926439307 CHF - 62,954.229-332.000 62,622.229 H LU0926439489-49,408.000-3,920.000 45,488.000 HI LU0949342496 CHF - 40,010.000-40,010.000 HI LU0949381981-44,010.000-44,010.000 I LU0926439216-32,010.000-32,010.000 R LU0992910520-10.000-10.000 Emerging s Debt B LU0926439562 544,301.487 179,757.941-145,384.428 578,675.000 H LU0926440065 CHF 515,919.000 49,839.712-32,382.000 533,376.712 H LU0926439992 392,795.120 42,008.940-75,421.623 359,382.437 HI LU0926440495 CHF 31,140.000 129,515.221-147,595.355 13,059.866 HI LU0926440222 17,010.000 57,471.584-19,170.584 55,311.000 I LU0926439729 253,219.297 663,873.031-324,395.739 592,696.589 N LU0926439646 10.000 240.000-250.000 R LU0992847904-1,252.540-517.540 735.000 Pure Dividend Strategy B LU0971937114-87,920.000-221.000 87,699.000 H LU0971937387 CHF - 127,745.000-50,000.000 77,745.000 H LU0971937544-56,065.055-665.561 55,399.494 HI LU0971937460 CHF - 107,903.000-7,394.000 100,509.000 HI LU0971937627-77,505.587-8,621.000 68,884.587 I LU0971937205-23,637.000-540.000 23,097.000 R LU0971937890-1,110.000-1,110.000 Pure Momentum Strategy B LU0971937973-88,245.000-246.000 87,999.000 H LU0971938278 CHF - 126,155.000-50,000.000 76,155.000 H LU0971938435-55,746.237-630.465 55,115.772 HI LU0971938351 CHF - 13,572.000-651.000 12,921.000 HI LU0971938518-14,277.000-837.000 13,440.000 I LU0971938195-2,992.000-2,992.000 R LU0971938609-1,110.000-1,110.000 Pure Premium Strategy B LU0971938781-53,026.001-101.000 52,925.001 H LU0971938948 CHF - 170,629.000-4,008.000 166,621.000 H LU0971939169-73,271.000-4,426.000 68,845.000 HI LU0971939086 CHF - 25,010.000-25,010.000 HI LU0971939243-20,010.000-20,010.000 I LU0971938864-54,510.000-54,510.000 R LU0971939326-10.000-10.000 129
Net Asset Value Summary Vontobel Fund - Net Assets Net Asset Value per Share 31.08.2012 31.08.2013 28.02.2014 31.08.2012 31.08.2013 28.02.2014 Swiss Money CHF 275,467,590 168,794,509 151,227,840 A CHF 94.51 94.17 93.16 B CHF 114.49 115.23 115.15 R CHF - - 99.89 Euro Money 261,006,411 194,227,655 145,879,282 A 98.16 96.16 93.90 B 131.68 131.96 132.31 C 162.31 161.61 161.51 I 110.54 110.93 111.31 R - - 100.13 US Dollar Money 130,326,226 138,548,639 158,011,819 A 89.75 89.04 88.33 B 126.83 127.44 128.14 R - - 100.25 Swiss Franc Bond CHF 330,412,262 377,398,573 343,340,647 A CHF 125.22 123.67 123.74 B CHF 230.58 230.45 232.90 C CHF 186.70 185.86 187.47 I CHF 126.08 126.46 128.03 R CHF - - 100.61 Euro Bond 90,887,444 83,190,894 112,960,743 A 131.15 134.81 137.41 AM 91.85 97.62 104.86 B 319.23 337.17 351.84 I 127.04 134.80 140.99 R - - 102.38 Corporate Bond Mid Yield 181,802,527 303,237,104 452,368,407 A 98.33 101.87 103.60 B 136.20 145.70 153.24 C 171.40 182.62 191.72 H CHF - 100.89 105.86 I 122.44 131.75 138.94 R 112.35 121.21 127.98 High Yield Bond 89,501,536 191,895,495 231,556,300 AS 104.42 112.42 114.09 B 104.47 114.31 122.13 H CHF 104.37 113.92 121.47 H 104.53 114.63 122.51 HI CHF - - 105.07 I 104.62 114.98 123.20 R - - 103.67 US Dollar Bond 105,422,660 101,929,229 96,069,459 A 111.17 104.84 104.37 B 288.29 279.50 284.52 I 129.07 125.71 128.26 R 110.04 107.25 109.45 Eastern European Bond 129,456,326 263,401,323 223,704,916 A 53.12 48.35 45.20 AM 78.28 67.75 63.09 AM 80.66 73.05 71.25 B 137.83 132.40 129.66 C 182.86 174.95 170.99 I 129.28 124.92 122.70 R 106.08 102.77 101.09 Absolute Return Bond (CHF) CHF 266,295,346 240,589,643 209,257,217 A CHF 92.07 88.97 86.94 B CHF 106.73 106.43 106.77 I CHF 106.60 106.67 107.17 R CHF 104.84 104.96 105.50 S CHF 102.03 102.60 103.40 Absolute Return Bond () 229,391,269 175,418,271 156,578,376 A 103.33 100.03 98.07 AM 88.01 89.27 92.54 B 153.30 153.44 154.55 C 166.98 166.46 167.34 H - - 100.46 HI - - 100.48 I 116.38 117.03 118.11 R 107.12 107.79 108.85 Global Convertible Bond 128,520,996 162,696,383 212,493,618 A 115.58 127.39 131.70 B 115.57 127.38 135.05 C 158.27 173.75 183.85 H CHF 112.47 123.63 130.81 H 116.04 128.34 136.13 HI CHF 104.18 115.14 122.20 I 117.91 130.76 139.03 R - - 102.33 130
Net Asset Value Summary Vontobel Fund - Net Assets Net Asset Value per Share 31.08.2012 31.08.2013 28.02.2014 31.08.2012 31.08.2013 28.02.2014 Emerging s Bond 283,441,942 266,539,981 201,258,172 A 102.61 91.17 86.91 AM 102.44 87.81 85.15 B 106.07 98.10 98.84 B CHF 104.51 94.61 90.05 B 104.96 92.80 89.26 C 158.10 145.63 146.45 H CHF 102.98 94.44 94.76 H 105.13 96.61 97.06 HI CHF 103.98 96.01 96.64 I 107.11 99.65 100.70 R 107.53 100.30 101.49 Swiss Mid and Small Cap CHF 80,827,123 124,693,972 156,031,766 A CHF 95.41 120.02 143.80 Equity B CHF 95.42 120.39 144.71 I CHF 62.38 79.39 95.84 R CHF - - 110.49 European Mid and Small Cap 117,410,458 131,904,155 184,289,379 A 113.82 135.25 160.40 Equity B 117.59 141.20 168.08 C 107.14 127.87 151.77 I 85.80 103.92 124.24 R - - 110.28 Japanese Equity JPY 4,907,548,341 6,041,442,032 6,102,022,270 A JPY 2,924.00 4,309.00 4,723.00 B JPY 3,542.00 5,219.00 5,720.00 I JPY 4,347.00 6,447.00 7,089.00 R JPY - - 9,611.00 China Stars Equity 101,705,450 72,027,235 150,777,042 A 103.35 118.37 124.49 B 111.41 128.95 136.88 C 117.60 135.31 143.20 I 100.50 117.44 125.26 R 91.08 107.01 114.44 European Equity 258,351,565 428,273,554 355,465,364 A 186.31 203.81 211.84 B 197.16 217.26 226.80 C 141.84 155.37 161.71 I 104.12 115.73 121.33 R 169.19 189.07 198.75 US Equity 752,232,379 1,569,337,979 1,638,918,649 A 480.80 563.10 645.48 B 592.73 694.19 797.02 C 151.88 176.80 202.38 H 109.82 127.68 146.21 HI 128.12 150.33 172.86 I 114.03 134.71 155.33 N - 103.82 119.69 R 167.07 198.42 229.40 Global Equity 510,208,908 1,317,915,261 1,354,550,595 A 151.12 167.17 188.42 B 156.15 173.05 195.51 B SEK - - 106.59 C 153.41 169.01 190.37 H 88.48 97.20 109.47 H SEK - - 107.17 HC 151.56 165.65 185.99 HI 97.65 108.28 122.49 I GBP - 112.81 118.15 I 114.10 127.55 144.72 N - 105.11 119.24 R 162.46 182.58 207.71 S 102.91 116.16 132.45 Global Equity (ex-us) 93,324,323 106,877,749 109,967,675 A 188.04 198.31 214.02 B 205.24 218.02 236.51 H 116.18 122.28 132.18 HI 91.47 97.16 105.50 I 93.09 99.74 108.67 R 151.12 162.84 177.89 131
Net Asset Value Summary Vontobel Fund - Net Assets Net Asset Value per Share 31.08.2012 31.08.2013 28.02.2014 31.08.2012 31.08.2013 28.02.2014 Emerging s Equity 3,334,634,731 4,963,788,810 4,686,267,579 A 561.12 527.50 543.15 AHI - 89.08 91.50 B 658.97 623.53 646.33 B SEK - - 93.97 C 180.35 169.63 175.31 C SEK - - 102.30 G GBP - 93.07 89.58 H CHF 98.30 92.23 95.21 H 183.09 172.05 177.86 H SEK - - 95.64 HC 170.75 159.53 164.72 HI CHF 112.72 106.69 110.59 HI 113.70 107.76 111.87 HS CHF 107.69 103.03 107.33 I 156.00 148.89 155.03 I GBP 103.94 101.85 97.89 N - 89.42 93.07 R 182.02 174.65 182.30 S 285.07 274.74 287.45 Far East Equity 668,746,426 669,517,163 658,335,534 A 314.39 312.42 335.67 B 354.45 353.76 382.58 C 150.27 149.09 160.75 H 136.98 135.82 146.46 HI 105.89 105.88 114.61 I 126.11 126.95 137.89 N - 93.74 101.82 R 162.54 164.51 179.15 New Power 155,371,910 149,027,781 235,058,316 A 90.41 102.43 117.94 B 90.42 102.44 118.28 C 84.26 94.89 109.24 C 110.63 130.33 157.16 H CHF 89.20 100.88 116.30 H GBP 89.60 101.92 117.61 H 88.65 100.50 115.96 I 67.05 76.62 88.85 N - 97.39 112.94 R 103.18 118.55 137.84 Clean Technology 22,615,153 22,776,159 38,606,926 A 156.53 175.82 207.48 B 156.33 175.84 207.96 I 161.59 183.34 217.76 R 164.85 188.04 223.94 Future Resources 119,584,411 147,035,611 125,361,986 A 175.97 181.65 194.24 B 175.10 180.75 193.52 C 170.73 175.19 187.00 C 123.53 132.60 148.25 H CHF 92.05 94.89 101.45 I 181.08 188.55 202.73 N - 96.98 104.27 R 184.65 193.29 208.39 Sustainable Asia (ex Japan) 30,776,173 30,201,763 32,665,520 A 175.63 197.56 215.73 Equity B 175.73 198.22 217.55 H 170.89 191.55 209.69 HI 175.68 198.65 218.40 I 181.77 206.81 227.95 R 185.87 212.60 234.97 Sustainable Emerging s 114,675,374 125,747,514 118,095,064 A 86.77 88.07 94.03 Leaders B 86.75 88.45 95.02 I 87.62 90.10 97.22 R 88.10 91.09 98.54 Sustainable Global Leaders - 110,936,900 144,645,078 A - 106.37 126.28 B - 106.37 126.28 H CHF - 105.82 125.18 H - 105.76 125.22 I - 106.97 127.50 R - 107.32 128.22 S - 104.89 125.58 132
Net Asset Value Summary Vontobel Fund - Net Assets Net Asset Value per Share 31.08.2012 31.08.2013 28.02.2014 31.08.2012 31.08.2013 28.02.2014 Defensive Balanced Portfolio CHF 22,855,777 14,202,800 - A CHF 87.03 82.84 - (CHF) B CHF 96.81 92.38 - Defensive Balanced Portfolio 41,607,457 31,150,980 - A 62.04 58.95 - () B 86.56 83.08 - C 143.45 136.91 - Belvista Commodity 813,591,876 577,197,207 552,367,465 B 99.30 86.66 88.24 C 168.48 146.16 148.37 H CHF 90.72 78.41 79.55 H 68.08 58.99 59.92 H SEK 1,013.24 888.72 907.04 HI CHF 130.79 114.00 116.06 HI 119.58 104.44 106.53 HI SEK 917.30 810.32 828.76 HS CHF 97.59 85.79 87.75 I 127.68 112.30 114.80 R 81.45 71.98 73.75 S 93.82 83.22 85.43 Belvista Dynamic Commodity 78,996,528 57,215,186 69,112,252 B 106.66 91.72 93.25 H CHF 106.14 90.46 91.65 H 106.31 90.73 92.03 HI CHF 106.42 91.41 93.01 HI 106.65 91.69 93.34 I 106.95 92.70 94.61 Diversified Alpha UCITS 136,088,361 98,725,531 - B 95.53 85.47 - H CHF 93.62 83.54 - H 97.05 86.99 - HI CHF 95.77 86.01 - HI 98.89 89.20 - I 97.21 87.66 - R 98.01 88.79 - Target Return () 32,923,339 35,670,828 28,771,462 B 96.92 97.40 99.22 C 144.07 144.21 146.66 I 98.33 99.40 101.54 R - - 100.43 Emerging s Debt - 174,260,030 227,874,097 B 90.64 96.44 H 90.42 96.02 H CHF 90.44 95.91 HI 90.65 96.54 HI CHF 90.55 96.11 I 90.80 96.89 N 90.72 96.69 R - 102.62 Robusta - - 40,182,678 A - - 101.93 B - - 101.93 H CHF - - 101.90 H - - 101.65 HI CHF - - 101.78 HI - - 101.98 I - - 101.96 R - - 101.01 Robusta Dynamic - - 26,136,560 A - - 101.65 B - - 101.66 H CHF - - 101.49 H - - 101.68 HI CHF - - 101.81 HI - - 101.98 I - - 101.96 R - - 100.46 Pure Dividend Strategy - - 48,623,452 B - - 100.06 H CHF - - 99.79 H - - 99.95 HI CHF - - 100.11 HI - - 100.25 I - - 100.34 R - - 100.52 133
Net Asset Value Summary Vontobel Fund - Net Assets Net Asset Value per Share 31.08.2012 31.08.2013 28.02.2014 31.08.2012 31.08.2013 28.02.2014 Pure Momentum Strategy 28,901,834 B - - 100.43 H CHF - - 100.24 H - - 100.38 HI CHF - - 100.51 HI - - 100.63 I - - 100.69 R - - 100.84 Pure Premium Strategy 44,366,267 B - - 99.13 H CHF - - 98.98 H - - 99.11 HI CHF - - 99.17 HI - - 99.26 I - - 99.31 R - - 99.40 134
Notes to the Financial Statements 1 General information The Vontobel Fund (hereinafter referred to as the Fund ) is an open-ended investment company with variable capital under Luxembourg law, incorporated on October 4, 1991 for an indefinite duration as a Société d'investissement à Capital Variable ( SICAV ) in accordance with the provisions of Part I of the Luxembourg Law of December 17, 2010 on Undertakings for Collective Investment. The Fund's financial year ends on August 31. The legal basis for the Fund is laid down by the Articles of Association of the Fund. The Fund's Articles of Association were published for the first time on November 18, 1991 in the Luxembourg Official Gazette ( Mémorial C, Recueil des Sociétés et Associations - Mémorial ) and last amended on September 1, 2011. They are filed with the Trade and Companies Register of the District Court of Luxembourg where they may be consulted and copies thereof may be obtained. The Fund is registered in the Trade and Companies Register of the District Court of Luxembourg with registration number B 38 170. The Fund is composed of several Sub-Funds ( Sub-Funds ), each of which represents a specific portfolio of assets and liabilities and is managed in accordance with its own specific investment objectives. The Articles of Association permit the Fund's board of directors ( Board of Directors ) at any time to issue various share classes ( Share Classes ) within a Sub-Fund, the assets of these Share Classes being managed jointly. The Share Classes may, however, differ in their specific characteristics, e.g. with respect to their investor profile, fee structure, minimum investment amount, taxation and their distribution policy. As of February 28, 2014, the Fund has the following Sub-Funds and Share Classes available: Vontobel Fund - Currency Distributing Share Classes Accumulating Share Classes Swiss Money CHF A B, R Euro Money A B, C, I, R US Dollar Money A B, R Swiss Franc Bond CHF A B, C, I, R Euro Bond A, AM () B, I, R Corporate Bond Mid Yield A B, C, H (CHF), I, R High Yield Bond AS B, H (CHF), H (), HI (CHF), I, R US Dollar Bond A B, I, R Eastern European Bond A, AM, AM () B, C, I, R Absolute Return Bond (CHF) CHF A B, I, R, S Absolute Return Bond () A, AM () B, C, H (), HI (), I, R Global Convertible Bond A B, C, H (CHF), H (), HI (CHF), I, R Emerging s Bond A, AM B, B (CHF), B (), C, H (CHF), H (), HI (CHF), I, R Swiss Mid and Small Cap Equity CHF A B, I, R European Mid and Small Cap Equity A B, C, I, R Japanese Equity JPY A B, I, R China Stars Equity A B, C, I, R European Equity A B, C, I, R US Equity A B, C, H (), HI (), I, N, R Global Equity A B, B (SEK), C, H (), H (SEK), HC (), HI (), I, I (GBP), N, R, S Global Equity (ex-us) A B, H (), HI (), I, R Emerging s Equity A, AHI () B, B (SEK), C, C (SEK), G (GBP), H (CHF), H (), H (SEK), HC (), HI (CHF), HI (), HS (CHF), I, I (GBP), N, R, S Far East Equity A B, C, H (), HI (), I, N, R New Power A B, C, C (), H (CHF), H (GBP), H (), I, N, R Clean Technology A B, I, R Future Resources A B, C, C (), H (CHF), I, N, R Sustainable Asia (ex Japan) Equity A B, H (), HI (), I, R Sustainable Emerging s Leaders A B, I, R Sustainable Global Leaders A B, H (CHF), H (), I, R, S Belvista Commodity - B, C, H (CHF), H (), H (SEK), HI (CHF), HI (), HI (SEK), HS (CHF), I, R, S Belvista Dynamic Commodity - B, H (CHF), H (), HI (CHF), HI (), I, R Target Return () - B, C, I, R Robusta A B, H (CHF), H (), HI (CHF), HI (), I, R Robusta Dynamic A B, H (CHF), H (), HI (CHF), HI (), I, R Emerging s Debt - B, H (CHF), H (), HI (CHF), HI (), I, N, R Pure Dividend Strategy - B, H (CHF), H (), HI (CHF), HI (), I, R Pure Momentum Strategy - B, H (CHF), H (), HI (CHF), HI (), I, R Pure Premium Strategy - B, H (CHF), H (), HI (CHF), HI (), I, R 135
Notes to the Financial Statements 1 General information (continued) The Board of Directors may at any time decide to issue the Share Classes listed below: a) Shares entitled to distribution (distribution shares of classes A, AH (hedged), AHI (hedged), AM, AMH (hedged) and AS) with the following characteristics: i. Private and institutional investors may subscribe to A shares, which distribute income annually. ii. iii. AH (hedged) shares may be subscribed to by private and institutional investors; they confer the right to an annual distribution. These shares are issued in one or more alternative currencies depending on the Sub-Fund. The respective Sub-Fund shall extensively hedge the AH (hedged) shares issued in an alternative currency against exchange rate fluctuations in relation to the Sub-Fund's reference currency. The net asset value performance will differ from that of the corresponding, non-hedged B shares. AHI (hedged) shares may only be subscribed to by institutional investors and confer the right to annual distribution. The respective Sub-Fund shall extensively hedge the AHI (hedged) shares issued in an alternative currency against exchange rate fluctuations in relation to the Sub-Fund's reference currency. The change in net asset value will differ from that of the corresponding, non-hedged I shares. If it is in the interest of the Fund and in accordance with the Articles of Association, the Board of Directors may permit specific subscription agreements. iv. Private and institutional investors may subscribe to AM shares. The Board of Directors may, at its sole discretion, decide to distribute income for AM shares on a monthly basis unless otherwise specified in the Special Part of the prospectus for the relevant Sub-Fund. v. Private and institutional investors may subscribe to AMH (hedged) shares. These shares are issued in one or more alternative currencies depending on the Sub-Fund. The respective Sub-Fund shall extensively hedge the AMH (hedged) shares issued in an alternative currency against exchange rate fluctuations in relation to the Sub-Fund's reference currency. The change in net asset value will differ from that of the corresponding, non-hedged B shares. The Board of Directors may, at its sole discretion, decide to distribute income for AMH (hedged) shares on a monthly basis unless otherwise specified in the Special Part of the prospectus for the relevant Sub-Fund. vi. Private and institutional investors may subscribe to AS shares. The Board of Directors may, at its sole discretion, decide to distribute income for AS shares on a semi-annual basis unless otherwise specified in the Special Part of the prospectus for the relevant Sub-Fund. b) Shares not entitled to distributions (accumulating shares B, C, G, H (hedged), HC (hedged), HI (hedged), HS (hedged), I, N, R, S or U) with the following characteristics: i. Private and institutional investors may subscribe to B shares. ii. Private and institutional investors may subscribe to C shares, although the C and HC share Classes will only be available through specific distributors and once regulatory approval has been obtained in various countries. iii. G shares are reserved exclusively for institutional investors who invest a minimum of 50 million in the Share Class currency at initial subscription. Subsequent subscriptions are subject to a minimum of 1 million in the Share Class currency. If it is in the interest of the Fund and in accordance with the Articles of Association, the Board of Directors may permit specific subscription agreements. iv. H (hedged) shares may be subscribed to by private and institutional investors. These shares are issued in one or more alternative currencies depending on the Sub-Fund. The respective Sub-Fund shall extensively hedge the H (hedged) shares issued in an alternative currency against exchange rate fluctuations in relation to the Sub-Fund's reference currency. The change in net asset value will differ from that of the corresponding, non-hedged B shares. v. HC (hedged) shares may be subscribed to by private and institutional investors. These shares may be issued in one or more alternative currencies depending on the Sub-Fund. The respective Sub-Fund shall extensively hedge the HC (hedged) shares issued in an alternative currency against exchange rate fluctuations in relation to the Sub-Fund's reference currency. The change in net asset value will differ from that of the corresponding, non-hedged C shares. vi. HI (hedged) shares may be subscribed to only by institutional investors. These shares are issued in one or more alternative currencies depending on the Sub-Fund. The respective Sub-Fund shall extensively hedge the HI (hedged) shares issued in an alternative currency against exchange rate fluctuations in relation to the Sub-Fund's reference currency. The change in net asset value will differ from that of the corresponding, non-hedged I shares. If it is in the interest of the Fund and in accordance with the Articles of Association, the Board of Directors may permit specific subscription agreements. 136
Notes to the Financial Statements 1 General information (continued) vii. HS (hedged) shares are issued exclusively to institutional investors that have concluded a corresponding agreement with a company in the Vontobel Group and will be issued in one or several alternative currencies depending on the Sub-Fund. The respective Sub-Fund shall extensively hedge the HS (hedged) shares issued in an alternative currency against exchange rate fluctuations in relation to the Sub-Fund's reference currency. The change in net asset value will differ from that of the corresponding, non-hedged S shares. HS shares are not subject to a management fee for investment management or distribution. viii. I shares are exclusively reserved for institutional investors. If it is in the interest of the Fund and in accordance with the Articles of Association, the Board of Directors may permit specific subscription agreements. ix. N shares may be subscribed to by private and institutional investors, though the N Share Class is only available from specific distributors and only once regulatory approval has been obtained in various countries. x. R shares are exclusively reserved for investors that have concluded a corresponding agreement with a company in the Vontobel Group. xi. S shares are exclusively reserved for institutional investors who have concluded a corresponding agreement with a company in the Vontobel Group. S shares are not subject to a management fee for investment management or distribution. xii. Private and institutional investors may subscribe to U shares. Shares are offered only as whole units. Amount-based subscriptions and fractional shares are not permitted. The conversion of shares in Share Class U into shares in other Share Classes in the Fund is not permitted. The provisions applying to subscription to shares in share Class U for each Sub-Fund are set out in the Special Part of the prospectus. The institutional investors referred to above are institutional investors as defined in articles 174 to 176 of the Luxembourg Law of December 17, 2010. 2 Accounting principles a) Financial statements The financial statements have been drawn up in accordance with Luxembourg legal provisions relating to investment funds. b) Valuation of the assets i. The value of any cash on hand or on deposit, bills, demand notes, accounts receivable, pre-paid income and expenses, cash dividends and interest declared or accrued but not yet received shall be deemed to be the full amount, unless there is any possibility of this amount not being paid or received in full, in which case the value shall be obtained after deducting an amount deemed appropriate by the Fund to reflect the true value of the assets. ii. The value of all securities and/or derivatives listed or traded on the stock exchange based on the last known price on the day preceding the valuation day. The securities and/or derivative instruments of the Sub-Funds specified in the Special Part of the prospectus which are invested in Asia and the Far East in accordance with the investment policy and whose application of the provisions of note iv below is measured in accordance with the last known price at the time of valuation on the valuation date constitute an exception to this. iii. The value of the securities and/or derivatives traded on other regulated markets is calculated based on the last price on the day preceding the valuation day. iv. If any securities and/or derivative instruments in the Fund's portfolio on the relevant valuation day are not listed or traded on an exchange or other regulated market or if the price calculated in accordance with section ii and iii is not representative of the fair value of the securities and/or derivative instruments listed or traded on an exchange or regulated market, the value of these securities and/or derivative instruments shall be estimated with due care and in good faith based on a probable sales price. v. In the case of fixed and floating-rate money market securities and securities with a residual maturity of less than three months, the valuation price for an investment, based on the net acquisition price, shall be progressively adjusted to the redemption price while keeping the resulting investment return constant. The valuation price calculated in this way may therefore differ from the actual market price. In the event of significant changes in market conditions, the valuation principles for the individual investments will be adjusted in line with the new market returns. vi. The value of the units or shares in other UCITS/UCIs is based on the last available net asset value. 137
Notes to the Financial Statements 2 Accounting principles (continued) vii. If the aforementioned valuation methods are inappropriate or misleading, the Board of Directors may adjust the value of the investments or permit the use of another method of valuing the Fund's assets. If extraordinary circumstances make a valuation in accordance with the aforementioned valuation criteria appear impossible or improper, or if it is in the interests of the Fund or a Sub-Fund or/and the shareholder (e.g. to avoid market timing), the Board of Directors is authorised to temporarily and in good faith use other generally accepted and auditable valuation methods in relation to the assets of the Fund or of a Sub-Fund on a uniform basis in order to achieve a proper valuation of the Fund or the relevant Sub-Fund. c) Net realised gain/loss on investments Realised net profits and net losses from the sale of securities are calculated on the basis of average costs. Realised profits and losses are reported in the statement of net income under Net realised gain/loss on investments. d) Income Dividends are recognised as income in the statement of net income on the day on which the security is first listed as exdividend, provided this information is available to the Fund. Accrued interest is allocated on a daily basis. Coupons received from the issuers of the underlying securities are included in the position Net interest on bonds. Interest receivable for the Fund is booked to Interest and dividends receivable. e) Net realised gain/loss on futures Futures are recorded off-balance sheet and valued on the basis of the last available price. Realised net profits and net losses from the sale of futures are calculated according to the FIFO-principle. Net gains and net losses are reported in the statement of net income under Net realised gain/loss on futures. Changes in unrealised profits and losses are reported in the statement of net income under Change in unrealised appreciation/depreciation on futures. f) Net realised gain/loss on forward foreign exchange contracts Forward foreign exchange contracts are recorded off-balance sheet and valued on the basis of the forward foreign exchange rates on the valuation date. Realised net profits and losses are reported in the statement of net income under Net realised gain/loss on forward foreign exchange contracts. Changes in unrealised profits and losses are reported net in the statement of net income under Change in unrealised appreciation/depreciation on forward foreign exchange contracts. g) Valuation of Swaps The value of the traded swaps is calculated by the independent valuation agency Société Générale (up to September 30, 2013) or RBC Investor Services Bank S.A. (since October 1, 2013) on the basis of the net asset value of all cash flows, both inflows and outflows. This valuation method is used with the Fund's consent. If extraordinary circumstances render a valuation in accordance with the aforementioned method impracticable or inadequate, the Fund is authorised to use other generally accepted and auditable valuation methods in good faith in order to achieve an appropriate valuation of the net assets. Profits and losses are reported in the statement of net income under Net realised gain/loss on swaps. Interest is recognised as income or expenses and recorded in the statement of net income under Interest on Swaps. Changes in unrealised profits and losses are reported in the statement of net income under Change in unrealised appreciation/depreciation on swaps. The outstanding swaps are shown in Note 9. h) Valuation of contracts for difference Contracts for difference are agreements between Sub-Funds and third parties which allow the Sub-Fund to benefit from price movements of shares, commodities, indices, interest rate products or currencies without the need to own them directly. Upon entering into such contracts, the Sub-Funds are required to deposit with a broker a one-off cash margin equal to a certain percentage of the contract amount. Variation margin payments are made or received by the Sub-Fund depending on the movement in the value of the underlying. Contracts for difference are valued as the difference between the market price of the underlying on the valuation day and the contract price. The changes in contract values are recorded as unrealised profits or losses and the Sub-Funds recognize a realised profit or loss when the contract is closed. 138
Notes to the Financial Statements 2 Accounting principles (continued) Unrealised profits and losses are reported in the statement of net assets under Unrealised gain/loss on Contracts for Difference. Realised profits and losses are reported in the statement of net income under Net realised gain/loss on Contracts for Difference. Changes in unrealised profits and losses are reported in the statement of net income under Change in unrealised appreciation/depreciation on Contracts for Difference. Interest is recognised as income or expenses and recorded in the statement of net income under Interest on Contracts for Difference. The outstanding contracts for difference are shown in Note 9. i) Combined financial statements The reference currencies of the Sub-fund are converted into Swiss francs to produce combined financial statements that comply with provisions under Luxembourg Law. Assets and liabilities denominated in foreign currencies are converted into the base currency using the exchange rate applicable as at the balance sheet date. j) Conversion of items in foreign currencies Cash at banks, other net assets, as well as the valuation of securities in the portfolio that are expressed in currencies other than the reference currency of the different Sub-Funds, are converted at the last known exchange rate on the valuation day. Income and expenses expressed in currencies other than the reference currency of the different Sub-Funds are converted at the exchange rate on the payment day. Realised profits and losses on currency exchanges are reported in the Statement of net income under Net realised gain/loss on currency exchange. The acquisition cost of securities expressed in currencies other than the reference currency of the different Sub-Funds will be converted at the exchange rate of the acquisition date. k) Formation expenses The formation expenses for the Fund have been allocated to the individual Sub-Funds in proportion to their initial subscription amounts and were written off in full over a period of five years. l) Taxation With the exceptions listed under point 4, the Fund is not subject to any Luxembourg taxes. However, in accordance with the applicable foreign legislation, the Fund may be subject to capital gains taxes and withholding tax on interest and dividend income at differing rates. For the purpose of disclosure, non-refundable withholding taxes are deducted from the gross dividends/interest amounts. Capital gains taxes are deducted from sales proceeds as a reduction in realised profits. m) Swinging single pricing In order to offset the costs (in particular taxes, fees, spreads or other transactions costs) incurred by the Sub-Fund s assets as a result of share subscriptions and redemptions, the Board of Directors may raise or lower the net asset value per share for each valuation day. The adjustment of the net asset value depends on whether there is a net asset inflow or outflow that exceeds a defined threshold for each valuation day. The maximum adjustment is 1% of the net asset value of the Sub-Fund concerned in each case. Swinging single pricing is only used if it is stipulated in the respective Sub-Fund appendix. 3 Management fee and Performance fee a) Management fee The Fund pays a service charge as management fee, which covers all costs in respect of the range of possible services in connection with investment management and distribution and which is payable at the end of each month. The management fee is divided between the investment managers, the sub-investment managers and the relevant distributors. This management fee is calculated on the basis of the average daily net asset value of the relevant Sub-Fund during the relevant month. The applicable rate for the management fee is confirmed by the Board of Directors and set out in the Special Part of the prospectus for the individual Sub-Funds. 139
Notes to the Financial Statements 3 Management fee und Performance fee (continued) The applicable rates per annum and per share class as at February 28, 2014 are as below: Vontobel Fund - A, B, H (hedged) AM, AS C, HC (hedged) G AHI (hedged), I, HI (hedged) N R S, HS (hedged) Swiss Money 0.15% - - - - - 0.10% - Euro Money 0.30% - 0.95% - 0.150% - 0.25% - US Dollar Money 0.30% - - - - - 0.25% - Swiss Franc Bond 0.65% - 1.05% - 0.325% - 0.25% - Euro Bond 0.85% 1.25% - - 0.425% - 0.25% - Corporate Bond Mid Yield 1.10% - 1.50% - 0.550% - 0.25% - High Yield Bond 1.10% 1.50% - - 0.550% - 0.25% - US Dollar Bond 0.85% - - - 0.425% - 0.25% - Eastern European Bond 1.10% 1.50% 1.50% - 0.550% - 0.25% - Absolute Return Bond (CHF) 0.65% - - - 0.325% - 0.25% 0.00% Absolute Return Bond () 0.85% 1.25% 1.25% - 0.425% - 0.25% - Global Convertible Bond 1.10% - 1.50% - 0.550% - 0.25% - Emerging s Bond 1.20% 1.60% 1.60% - 0.600% - 0.25% - Swiss Mid and Small Cap Equity 1.65% - - - 0.825% - 0.25% - European Mid and Small Cap Equity 1.65% - 2.25% - 0.825% - 0.25% - Japanese Equity 1.25% - - - 0.625% - 0.25% - China Stars Equity 1.75% - 2.35% - 0.875% - 0.25% - European Equity 1.65% - 2.25% - 0.825% - 0.25% - US Equity 1.65% - 2.25% - 0.825% 0.825% 0.25% - Global Equity 1.65% - 2.25% - 0.825% 0.825% 0.25% 0.00% Global Equity (ex-us) 1.65% - - - 0.825% - 0.25% - Emerging s Equity 1.65% - 2.25% 0.65% 0.825% 0.825% 0.25% 0.00% Far East Equity 1.65% - 2.25% - 0.825% 0.825% 0.25% - New Power 1.65% - 2.25% - 0.825% 0.825% 0.25% - Clean Technology 1.65% - - - 0.825% - 0.25% - Future Resources 1.65% - 2.25% - 0.825% 0.825% 0.25% - Sustainable Asia (ex Japan) Equity 1.65% - - - 0.825% - 0.25% - Sustainable Emerging s Leaders 1.65% - - - 0.825% - 0.25% - Sustainable Global Leaders 1.50% - - - 0.750% - 0.25% 0.00% Belvista Commodity 1.50% - 2.10% - 0.750% - 0.25% 0.00% Belvista Dynamic Commodity 1.50% - - - 0.750% - 0.25% - Target Return () 1.20% - 1.60% - 0.600% - 0.25% - Robusta 1.25% - - - 0.625% - 0.25% - Robusta Dynamic 1.25% - - - 0.625% - 0.25% - Emerging s Debt 1.10% - - - 0.550% 0.825% 0.25% - Pure Dividend Strategy 1.50% - - - 0.750% - 0.25% - Pure Momentum Strategy 1.50% - - - 0.750% - 0.25% - Pure Premium Strategy 1.50% - - - 0.750% - 0.25% - The maximum management fee rates as at February 28, 2014 at target fund level are as follows: Sub-Funds Vontobel Fund - High Yield Bond Annual management fee ishares O STOXX 50 UCITS ETF (Inc) 0.35% Vontobel Fund - Swiss Franc Bond Vontobel Fund - Global Convertible Bond Class HI (Hedged) Cap 0.55% Vontobel Fund - Corporate Bond Mid Yield Vontobel Fund - Global Convertible Bond Class I Cap 0.55% Vontobel Fund - Target Return () AXA IM FIIS - US Short Duration High Yield - A 0.45% Gamax Funds - Junior A 1.50% Ignis Global Fds SICAV Ignis Abs Ret Gov Bd Fd I HC 0.30% ishares Euro High Yield Corporate Bond UCITS ETF Dis 0.50% LYXOR UCITS ETF OMTS 1-3Y INVESTMENT GRADE DR 0.17% Vontobel Fund - Global Convertible Bond Class I Cap 0.55% Vontobel Fund - Sustainable Global Leaders I 1.00% Vontobel Fund - Robusta AXA IM FIIS - US Short Duration High Yield - A 0.45% GLG Japan CoreAlpha Equity I H 0.75% GLG Japan CoreAlpha Equity D JPY 1.50% 140
Notes to the Financial Statements 3 Management fee und Performance fee (continued) Sub-Funds Vontobel Fund - Robusta Dynamic Annual management fee GLG Japan CoreAlpha Equity I H 0.75% GLG Japan CoreAlpha Equity D JPY 1.50% Vontobel Fund - China Stars Equity I 1.00% b) Performance fee The performance fee is calculated on each valuation day of the relevant Sub-Fund or corresponding share class in accordance with a period defined for the relevant Sub-Fund ( performance fee period ) and recognised for accounting purposes as an accrual. Any performance fee owed at the end of the relevant performance fee period is paid out to the portfolio manager. Neither equalisation nor multi-series accounting methods are used to calculate the performance fee. This may mean that under certain circumstances, an investor is unable to participate in a positive performance depending on the timing of its subscription of shares, although it will nevertheless be charged a performance fee on the basis of a positive overall performance by the Sub-Fund during the performance fee period. In the event of a redemption of shares during a performance fee period, the portion of the performance fee that was accrued during the relevant performance fee period up to the valuation cut-off date for the redemption of the shares shall also be paid out, regardless of whether a performance fee is due or not at the end of the relevant performance fee period. The performance fee is calculated either through cumulative application of the high-watermark principle ( HWM principle ) and hurdle-rate principle or alternatively in accordance with one of the aforementioned principles. The calculation method to be applied for each Sub-Fund is set out in the Special Part of the prospectus. According to the prospectus, a performance fee can apply to the following Sub-Funds for the financial period: Vontobel Fund - High Yield Bond Vontobel Fund - Absolute Return Bond (CHF) Vontobel Fund - Absolute Return Bond () Vontobel Fund - Emerging s Corporate Bond Vontobel Fund - Belvista Dynamic Commodity Vontobel Fund - Target Return () Vontobel Fund - Emerging s Debt Vontobel Fund - Pure Momentum Strategy Vontobel Fund - Pure Premium Strategy 4 Subscription tax In accordance with the 2010 Law, the Fund is currently exempt from income and capital gains taxes in Luxembourg. However, under this Law the Fund is subject to a subscription tax ( taxe d'abonnement ). For all Share Classes in all Sub- Funds reserved for the institutional investors, the tax amounts to 0.01%, and for all other Share Classes of all Sub-Funds to 0.05% of the net assets of the Share Classes concerned. However, the tax rate for Sub-Funds invested exclusively in money market instruments amounts to 0.01%. The tax is payable quarterly and is based on the net assets of the Fund at the end of the relevant quarter. 5 Service fee The Fund pays a service fee which covers the costs of central administration, supervision, custodian services and support services for the Fund. This service fee is calculated on the basis of the average of the Fund's daily net asset value during the month in question and amounts to maximum of 0.08745% per month. It is charged to the Fund at the end of the month. 141
Notes to the Financial Statements 6 Fees applicable to subscriptions and redemptions of target funds In accordance with the 2010 Law, no fees were charged for the subscription or redemption of shares from target funds that are managed by the same management company or by another company that is affiliated with the management company. The value of the cross investment at year-end amounts to: Target funds CHF Vontobel Fund - Global Convertible Bond HI (Hedged) Cap 2,117,629.53 Vontobel Fund - Global Convertible Bond I Cap 32,435,259.16 Vontobel Fund - China Stars Equity I Cap 702,469.86 Vontobel Fund - Sustainable Global Leaders I Cap 1,920,825.62 The following issuing and redemption fees were charged during the reporting period for the Shares of Target Funds launched and/or managed by other companies: Target funds Subscription and redemption fees AXA IM Fixed Income Investment Strategies - US Short Duration High Yield -F- Cap 0.07% AXA IM Fixed Income Investment Strategies - US Short Duration High Yield Class A Cap hedged 0.00% GAMAX Funds - Junior A 0.00% GLG Investments PLC - GLG Japan CoreAlpha Equity D 0.00% Ignis Absolute Return Government Bond Fund I2 Hedged 0.00% ishares Euro High Yield Corporate Bond UCITS ETF Dis 0.22% ishares O STOXX 50 UCITS ETF Inc 0.07% LYXOR UCITS ETF OMTS 1-3Y INVESTMENT GRADE DR 0.00% 7 Exchange rates When converting balance sheet positions that are denominated in foreign currencies into Swiss Francs as at February 28, 2014, the following exchange rates were used: 1 CHF 1.268740 AUD 1 CHF 13,180.078941 IDR 1 CHF 119.094933 PKR 1 CHF 88.229095 BDT 1 CHF 3.959751 ILS 1 CHF 3.429270 PLN 1 CHF 1.607800 BGN 1 CHF 70.368910 INR 1 CHF 3.701128 RON 1 CHF 2.652137 BRL 1 CHF 115.877636 JPY 1 CHF 95.341955 RSD 1 CHF 1.256756 CAD 1 CHF 1,211.667022 KRW 1 CHF 40.799655 RUB 1 CHF 633.555804 CLP 1 CHF 148.409412 LKR 1 CHF 7.272548 SEK 1 CHF 2,326.500000 COP 1 CHF 15.036713 MXN 1 CHF 1.438125 SGD 1 CHF 22.461806 CZK 1 CHF 3.719912 MYR 1 CHF 37.040619 THB 1 CHF 6.134310 DKK 1 CHF 187.286704 NGN 1 CHF 2.503864 TRY 1 CHF 0.822019 1 CHF 6.801776 NOK 1 CHF 34.398788 TWD 1 CHF 0.677466 GBP 1 CHF 1.351184 NZD 1 CHF 1.135332 1 CHF 8.811337 HKD 1 CHF 3.177229 PEN 1 CHF 12.195413 ZAR 1 CHF 254.867328 HUF 1 CHF 50.675415 PHP When converting balance sheet positions that are denominated in foreign currencies into Swiss Francs as at September 2, 2013, the following exchange rates were used: 1 CHF 1.128438 CAD 1 CHF 6.053675 DKK 1 CHF 0.811556 1 CHF 0.687690 GBP 1 CHF 8.299628 HKD 1 CHF 106.341630 JPY 1 CHF 14.269411 MXN 1 CHF 6.511096 NOK 1 CHF 7.072989 SEK 1 CHF 1.070320 When converting balance sheet positions that are denominated in foreign currencies into Swiss Francs as at November 29, 2013, the following exchange rates were used: 1 CHF 6.053675 DKK 1 CHF 0.811556 1 CHF 1.105340 142
Notes to the Financial Statements 8 Other Expenses Sub-Fund Description Amount in Sub-Fund currency Vontobel Fund - Swiss Money Tax Advice 4,811 Operating Fees 1,032 Legal Fees 639 Total CHF 6,482 Vontobel Fund - Euro Money Tax Advice 4,850 Operating Fees 1,118 Legal Fees 880 Total 6,848 Vontobel Fund - US Dollar Money Tax Advice 6,606 Operating Fees 860 Legal Fees 536 Total 8,002 Vontobel Fund - Swiss Franc Bond Tax Advice 9,045 Operating Fees 2,369 Clearing brokerage Fees 28,079 Legal Fees 1,446 Total CHF 40,939 Vontobel Fund - Euro Bond Tax Advice 7,182 Operating Fees 519 Clearing brokerage Fees 4,255 Legal Fees 404 Total 12,360 Vontobel Fund - Corporate Bond Mid Yield Tax Advice 11,083 Operating Fees 2,866 Legal Fees 1,447 Total 15,396 Vontobel Fund - High Yield Bond Tax Advice 5,003 Operating Fees 1,272 Clearing brokerage Fees 56 Legal Fees 2,705 Total 9,036 Vontobel Fund - US Dollar Bond Tax Advice 5,556 Operating Fees 638 Clearing brokerage Fees 2,478 Legal Fees 382 Total 9,054 Vontobel Fund - Eastern European Bond Tax Advice 8,739 Operating Fees 2,967 Clearing brokerage Fees 627 Legal Fees 41,222 Total 53,555 Vontobel Fund - Absolute Return Bond (CHF) Tax Advice 4,467 Operating Fees 1,243 Clearing brokerage Fees 60,544 Legal Fees 1,128 Total CHF 67,382 Vontobel Fund - Absolute Return Bond () Tax Advice 3,777 Operating Fees 1,212 Clearing brokerage Fees 49,541 Legal Fees 640 Total 55,170 143
Notes to the Financial Statements 8 Other Expenses (continued) Sub-Fund Description Amount in Sub-Fund currency Vontobel Fund - Global Convertible Bond Tax Advice 7,390 Operating Fees 5,453 Clearing brokerage Fees 38,447 Legal Fees 648 Total 51,938 Vontobel Fund - Emerging s Bond Tax Advice 10,704 Operating Fees 7,204 Clearing brokerage Fees 40,183 Legal Fees 904 Total 58,995 Vontobel Fund - Swiss Mid and Small Cap Equity Tax Advice 5,794 Operating Fees 798 Legal Fees 516 Total CHF 7,108 Vontobel Fund - European Mid and Small Cap Equity Tax Advice 6,224 Operating Fees 930 Legal Fees 614 Total 7,768 Vontobel Fund - Japanese Equity Tax Advice 466,257 Operating Fees 42,666 Clearing brokerage Fees 125,228 Legal Fees 25,969 Total JPY 660,120 Vontobel Fund - China Stars Equity Tax Advice 10,141 Operating Fees 5,819 Clearing brokerage Fees 3 Legal Fees 530 Total 16,493 Vontobel Fund - European Equity Tax Advice 9,670 Operating Fees 3,206 Clearing brokerage Fees 6,247 Legal Fees 1,506 Total 20,629 Vontobel Fund - US Equity Tax Advice 36,207 Operating Fees 11,079 Legal Fees 6,597 Total 53,883 Vontobel Fund - Global Equity Tax Advice 33,718 Operating Fees 33,828 Clearing brokerage Fees 6,927 Legal Fees 5,938 Total 80,411 Vontobel Fund - Global Equity (ex-us) Tax Advice 8,264 Operating Fees 3,455 Clearing brokerage Fees 488 Legal Fees 546 Total 12,753 Vontobel Fund - Emerging s Equity Tax Advice 114,492 Operating Fees 80,035 Clearing brokerage Fees 38,482 Legal Fees 20,658 Total 253,667 Vontobel Fund - Far East Equity Tax Advice 20,653 Operating Fees 9,343 Clearing brokerage Fees 15,761 Legal Fees 2,654 Total 48,411 Vontobel Fund - New Power Tax Advice 7,660 Operating Fees 18,648 Clearing brokerage Fees 535 Legal Fees 12,698 Total 39,541 144
Notes to the Financial Statements 8 Other Expenses (continued) Sub-Fund Description Amount in Sub-Fund currency Vontobel Fund - Clean Technology Tax Advice 4,574 Operating Fees 14,041 Formation expenses 290 Legal Fees 2,114 Total 21,019 Vontobel Fund - Future Resources Tax Advice 5,863 Operating Fees 2,712 Formation expenses 289 Legal Fees 11,674 Total 20,538 Vontobel Fund - Sustainable Asia (ex Japan) Equity Tax Advice 10,568 Operating Fees 860 Formation expenses 250 Legal Fees 4,204 Total 15,882 Vontobel Fund - Sustainable Emerging s Leaders Tax Advice 6,980 Operating Fees 5,037 Formation expenses 1,059 Legal Fees 26,204 Total 39,280 Vontobel Fund - Sustainable Global Leaders Tax Advice 11,178 Operating Fees 3,538 Clearing brokerage Fees 2,689 Legal Fees 13,369 Total 30,774 Vontobel Fund - Belvista Commodity Tax Advice 18,879 Operating Fees 26,475 Legal Fees 2,217 Total 47,571 Vontobel Fund - Belvista Dynamic Commodity Tax Advice 8,996 Operating Fees 770 Formation expenses 6,365 Legal Fees 190 Total 16,321 Vontobel Fund - Target Return () Tax Advice 2,933 Operating Fees 230 Clearing brokerage Fees 8,726 Legal Fees 123 Total 12,012 Vontobel Fund - Robusta Tax Advice 3,331 Operating Fees 54,299 Clearing brokerage Fees 58,496 Legal Fees 3,903 Total 120,029 Vontobel Fund - Robusta Dynamic Tax Advice 2,999 Operating Fees 59,472 Clearing brokerage Fees 63,982 Legal Fees 2,943 Total 129,396 Vontobel Fund - Emerging s Debt Tax Advice 14,606 Operating Fees 196,167 Clearing brokerage Fees 13,743 Legal Fees 817 Total 225,333 145
Notes to the Financial Statements 8 Other Expenses (continued) Sub-Fund Description Amount in Sub-Fund currency Vontobel Fund - Pure Dividend Strategy Tax Advice 3,886 Operating Fees 97,711 Clearing brokerage Fees 26,415 Legal Fees 4,718 Total 132,730 Vontobel Fund - Pure Momentum Strategy Tax Advice 3,481 Operating Fees 24,180 Clearing brokerage Fees 80,187 Formation expenses 199 Legal Fees 4,668 Total 112,715 Vontobel Fund - Pure Premium Strategy Tax Advice 3,065 Operating Fees 21,043 Clearing brokerage Fees 9,368 Legal Fees 1,507 Total 34,983 9 Off-balance-sheet transactions The counterparties to the forward foreign exchange contracts and futures listed below are: Bank Vontobel AG, Barclays Bank Wholesale, Citibank N.A., Deutsche Bank AG, JPMorgan Chase, London, Merrill Lynch International, Nomura International PLC, Raiffeisen Schweiz Genossenschaft, RBC IS Bank Luxbg, UBS AG, The Northern Trust Company. a) Forward foreign exchange contracts In order to protect its assets against currency fluctuations, the Fund may carry out transactions, the object of which is to dispose of foreign exchange forward contracts, call options on currencies and the acquisition of put options on currencies. The arrangement of hedging transactions is subject to the condition that there is a direct connection between the transaction and the assets to be hedged. That means that transactions concluded in a given currency must not significantly exceed the total value of the assets denominated in that currency or the period during which the assets are held. The following forward foreign exchange contracts were open as at February 28, 2014: Sub-Fund Purchase Sale Unrealised gain/loss in Sub-Fund currency Vontobel Fund - Swiss Money Hedged Share Classes 27.03.2014 CHF 7,507,080 8,400,000 CHF 109,957 27.03.2014 CHF 13,712,720 11,200,000 CHF 90,875 27.03.2014 CHF 451,210 500,000 CHF 10,906 27.03.2014 CHF 452,925 500,000 CHF 12,621 27.03.2014 CHF 493,880 400,000 CHF 7,386 27.03.2014 1,000,000 CHF 909,100 CHF -28,487 27.03.2014 1,000,000 CHF 1,220,750 CHF -4,512 198,746 Vontobel Fund - Swiss Franc Bond Hedged Share Classes 27.03.2014 CHF 14,299,200 16,000,000 CHF 209,441 27.03.2014 CHF 20,813,950 17,000,000 CHF 137,936 27.03.2014 CHF 905,850 1,000,000 CHF 25,243 27.03.2014 CHF 3,086,750 2,500,000 CHF 46,166 27.03.2014 CHF 1,804,840 2,000,000 CHF 43,624 27.03.2014 1,500,000 CHF 1,833,360 CHF -9,003 27.03.2014 2,500,000 CHF 3,051,875 CHF -11,280 442,127 Vontobel Fund - Corporate Bond Mid Yield Hedged Share Classes 03.03.2014 158,470 CHF 193,270-405 04.03.2014 256,904 CHF 312,756-194 31.03.2014 CHF 14,677,785 12,044,497 24,125 31.03.2014 CHF 193,270 158,613 301 31.03.2014 CHF 312,756 257,135 25 31.03.2014 CHF 27,466 22,582 2 31.03.2014 CHF 155,222 127,388 242 24,094 146
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Sub-Fund Purchase Sale Unrealised gain/loss in Sub-Fund currency Vontobel Fund - High Yield Bond Hedged Share Classes 19.03.2014 5,077,173 7,000,000 8,867 19.03.2014 29,003,007 GBP 24,500,000-720,783 19.03.2014 71,879,765 99,000,000 199,430 19.03.2014 3,675,255 5,000,000 55,035 19.03.2014 1,200,624 GBP 1,000,000-12,589 19.03.2014 1,463,507 2,000,000 15,419 19.03.2014 3,635,086 GBP 3,000,000-4,551 19.03.2014 1,466,512 2,000,000 18,424 03.03.2014 240,832 CHF 293,719-616 03.03.2014 11,275 15,415 114 03.03.2014 128,906 CHF 157,215-330 19.03.2014 2,925,260 4,000,000 29,084 04.03.2014 120,502 CHF 146,700-91 04.03.2014 111 152 1 04.03.2014 CHF 16,486 13,542 10 31.03.2014 CHF 34,418 28,246 54 31.03.2014 CHF 145,711,884 119,570,242 239,496 31.03.2014 27,522,183 20,139,401-212,035 31.03.2014 CHF 6,404,532 5,255,518 10,527 31.03.2014 CHF 157,215 129,023 245 31.03.2014 CHF 11,929 9,810-1 -374,290 Vontobel Fund - Eastern European Bond Hedged Share Classes 14.03.2014 TRY 5,000,000 1,627,737 6,673 14.03.2014 13,611,995 RUB 650,000,000 538,379 14.03.2014 HUF 3,500,000,000 11,273,412 6,143 14.03.2014 PLN 108,000,000 25,771,523 93,630 14.03.2014 TRY 5,000,000 1,599,488 34,921 14.03.2014 10,034,116 RON 45,000,000 48,786 14.03.2014 2,063,494 RUB 100,000,000 52,118 14.03.2014 2,034,319 RUB 100,000,000 22,895 14.03.2014 1,647,827 TRY 5,000,000 13,475 14.03.2014 RON 10,750,000 2,375,481 9,914 14.03.2014 1,635,029 TRY 5,000,000 622 14.03.2014 HUF 500,000,000 1,617,155-5,790 14.03.2014 3,838,127 PLN 16,000,000 6,258 14.03.2014 RUB 50,000,000 1,431,025-30,391 26.03.2014 TRY 6,700,000 3,012,861 516 14.03.2014 1,429,102 RUB 50,000,000 29,047 827,196 Vontobel Fund - Absolute Return Bond (CHF) Hedged Share Classes 19.03.2014 CHF 45,043,600 AUD 56,000,000 CHF 971,001 19.03.2014 CHF 80,598,210 66,000,000 CHF 320,877 19.03.2014 CHF 49,688,800 56,000,000 CHF 371,242 19.03.2014 CHF 6,188,900 5,000,000 CHF 107,297 19.03.2014 CHF 6,176,500 5,000,000 CHF 94,895 19.03.2014 CHF 6,102,025 5,000,000 CHF 20,408 19.03.2014 CHF 4,437,450 5,000,000 CHF 34,097 1,919,817 Vontobel Fund - Absolute Return Bond () Hedged Share Classes 19.03.2014 38,878,968 AUD 59,000,000 703,273 19.03.2014 47,252,108 65,000,000 189,262 31.03.2014 71,000 51,954-547 31.03.2014 1,599,233 1,170,241-12,321 879,667 147
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Sub-Fund Purchase Sale Unrealised gain/loss in Sub-Fund currency Vontobel Fund - Global Convertible Bond Hedged Share Classes 09.05.2014 20,475,320 JPY 2,800,000,000 604,519 09.05.2014 4,809,426 GBP 4,000,000-41,547 09.05.2014 85,050,994 115,000,000 1,786,000 09.05.2014 2,291,326 CHF 2,800,000-11,685 09.05.2014 1,906,396 HKD 20,000,000 40,255 09.05.2014 524,873 SGD 900,000 10,418 03.03.2014 12,558 CHF 15,315-32 04.03.2014 CHF 10,750 8,830 7 31.03.2014 CHF 58,205,541 47,763,095 95,668 31.03.2014 14,671,147 10,735,635-113,029 31.03.2014 CHF 52,145,723 42,790,448 85,707 2,456,281 Vontobel Fund - Emerging s Bond Hedged Share Classes 10.03.2014 PLN 7,000,000 2,257,653 58,353 11.03.2014 RUB 55,000,000 1,578,487-49,432 11.03.2014 TRY 2,500,000 1,116,869 12,858 11.03.2014 MYR 10,000,000 3,003,093 51,457 11.03.2014 MXN 25,000,000 1,868,810 17,140 13.03.2014 HUF 450,000,000 1,980,634 22,451 03.03.2014 CHF 60,119 67,366 890 04.03.2014 CHF 57,081 64,217 591 31.03.2014 CHF 65,464,383 73,422,336 919,803 31.03.2014 11,099,868 15,171,477 158,828 31.03.2014 CHF 10,917,385 12,244,520 153,394 1,346,333 Vontobel Fund - European Equity Hedged Share Classes 03.03.2014 ZAR 6,990,354 475,370-4,339 04.03.2014 ZAR 7,029,176 476,010-2,448 05.03.2014 ZAR 7,052,441 482,320-7,272 06.03.2014 ZAR 21,606,324 1,462,807-7,683-21,742 Vontobel Fund - US Equity Hedged Share Classes 03.03.2014 110,182 150,634 1,543 03.03.2014 2,339 3,198 33 04.03.2014 58,246 42,558-532 04.03.2014 69,049 94,503 863 31.03.2014 43,339,438 59,237,037 620,144 31.03.2014 47,817,090 65,357,164 684,215 1,306,266 Vontobel Fund - Global Equity Hedged Share Classes 03.03.2014 259,222 354,393 3,631 03.03.2014 273,204 199,836-2,799 03.03.2014 4,038 2,954-41 04.03.2014 11,989 16,408 150 04.03.2014 116,516 159,468 1,457 04.03.2014 13,777 18,855 172 31.03.2014 83,175,367 113,685,423 1,190,156 31.03.2014 16,052,136 21,940,316 229,690 31.03.2014 60,468,778 82,649,694 865,248 31.03.2014 SEK 22,041 3,379 60 31.03.2014 862,547 1,191,426-141 31.03.2014 666,815 921,064-109 2,287,474 Vontobel Fund - Global Equity (ex-us) Hedged Share Classes 03.03.2014 ZAR 101,161 9,439-24 04.03.2014 ZAR 101,723 9,417 48 03.03.2014 12,243 8,955-125 05.03.2014 ZAR 102,060 9,544-49 04.03.2014 22,891 31,330 286 06.03.2014 ZAR 311,338 29,086-127 31.03.2014 41,329 56,487 593 31.03.2014 9,670,990 13,218,464 138,382 31.03.2014 3,628,452 4,959,426 51,920 31.03.2014 50,370 69,576-8 190,896 148
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Sub-Fund Purchase Sale Unrealised gain/loss in Sub-Fund currency Vontobel Fund - Emerging s Equity Hedged Share Classes 03.03.2014 ZAR 19,502,305 1,819,720-4,719 04.03.2014 ZAR 19,610,615 1,815,529 9,219 05.03.2014 ZAR 19,675,521 1,839,865-9,393 03.03.2014 12,463 CHF 11,123-165 03.03.2014 246,253 180,122-2,523 03.03.2014 142,676 195,059 1,998 03.03.2014 8,431 11,526 118 04.03.2014 178,211 243,907 2,228 04.03.2014 1,149,265 1,572,933 14,370 04.03.2014 105,605 77,160-965 04.03.2014 159,212 CHF 141,520-1,464 06.03.2014 ZAR 60,276,867 5,631,247-24,534 31.03.2014 93,860,068 128,289,442 1,343,044 31.03.2014 12,662,251 17,306,967 181,184 31.03.2014 259,438,386 354,604,537 3,712,304 31.03.2014 CHF 15,059,475 16,890,129 211,592 31.03.2014 CHF 26,207,927 29,393,804 368,232 31.03.2014 CHF 70,521,485 79,094,188 990,857 31.03.2014 145,249,449 198,529,272 2,078,374 31.03.2014 SEK 943 145 3 31.03.2014 150,442 109,973-1,445 31.03.2014 712,146 520,579-6,838 31.03.2014 243,791 178,211-2,341 31.03.2014 1,572,183 1,149,265-15,096 31.03.2014 4,019,630 5,552,266-655 31.03.2014 CHF 179,684 204,113-62 31.03.2014 CHF 860,645 977,656-297 31.03.2014 1,753,372 2,421,912-286 31.03.2014 SEK 12 2 0 8,842,744 Vontobel Fund - Far East Equity Hedged Share Classes 31.03.2014 30,556 41,991-90 31.03.2014 8,255,852 11,345,332-24,231 31.03.2014 323 444-1 31.03.2014 148,385 203,496-18 31.03.2014 436 597 0-24,340 Vontobel Fund - New Power Hedged Share Classes 03.03.2014 CHF 51,890 42,546 109 04.03.2014 16,277 CHF 19,816-12 31.03.2014 CHF 17,334,581 14,224,646 28,492 31.03.2014 6,359,447 4,653,536-48,994 31.03.2014 GBP 127,413 155,097-531 31.03.2014 GBP 1,389 1,692-8 31.03.2014 80,554 58,331-6 -20,950 Vontobel Fund - Future Resources Hedged Share Classes 31.03.2014 CHF 1,651,435 1,357,872 2,714 31.03.2014 CHF 19,495 16,030-2 2,712 Vontobel Fund - Sustainable Asia (ex Japan) Equity Hedged Share Classes 31.03.2014 5,123,356 7,040,603 17,691 31.03.2014 3,027,636 4,160,629 10,454 31.03.2014 38,332 52,400 409 31.03.2014 95,720 131,270 600 31.03.2014 35,044 48,291-11 31.03.2014 47,731 65,773-15 31.03.2014 43,677 31,786-113 29,015 149
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Sub-Fund Purchase Sale Unrealised gain/loss in Sub-Fund currency Vontobel Fund - Sustainable Global Leaders Hedged Share Classes 31.03.2014 CHF 4,227,893 4,741,842 59,404 31.03.2014 4,976,429 6,801,862 71,208 130,612 Vontobel Fund - Belvista Commodity Hedged Share Classes 17.04.2014 SEK 168,750,604 26,198,937 123,626 17.04.2014 SEK 7,780 1,208 6 17.04.2014 CHF 1,525,000 1,694,712 37,347 17.04.2014 CHF 28,540,000 31,716,115 698,932 17.04.2014 39,620,000 54,232,569 487,603 17.04.2014 118,605,000 162,348,659 1,459,672 17.04.2014 CHF 72,240,000 80,279,333 1,769,125 17.04.2014 SEK 30 5 0 17.04.2014 SEK 28,958,370 4,474,670 42,401 17.04.2014 SEK 7,510,000 1,159,511 11,936 17.04.2014 SEK 30 5 0 17.04.2014 52,124 SEK 337,930-589 17.04.2014 415,000 567,847 5,320 17.04.2014 1,090,000 1,491,454 13,973 17.04.2014 CHF 1,010,000 1,123,592 23,542 17.04.2014 CHF 20,000 22,249 466 17.04.2014 CHF 430,000 478,361 10,023 17.04.2014 SEK 60 9 0 17.04.2014 SEK 33,870,340 5,263,759 19,506 17.04.2014 61,571 45,000-580 17.04.2014 280,000 383,107 3,608 17.04.2014 635,131 465,000-7,092 17.04.2014 1,140,504 835,000-12,736 17.04.2014 460,286 SEK 2,966,200-2,398 17.04.2014 8 SEK 50 0 17.04.2014 20,472 15,000-245 17.04.2014 2,934,311 2,150,000-35,108 17.04.2014 460,000 624,036 11,282 17.04.2014 1,330,000 1,804,277 32,620 17.04.2014 CHF 20,000 22,180 536 17.04.2014 CHF 355,000 393,694 9,506 17.04.2014 CHF 830,000 920,468 22,226 17.04.2014 SEK 150 23 0 17.04.2014 SEK 4,599,850 704,766 12,741 17.04.2014 560,093 415,000-13,074 17.04.2014 1,997,441 1,480,000-46,625 17.04.2014 989,241 CHF 895,000-27,268 17.04.2014 22,110 CHF 20,000-605 17.04.2014 397,983 CHF 360,000-10,892 17.04.2014 427,659 SEK 2,800,000-9,106 17.04.2014 114,877 85,000-2,519 17.04.2014 1,222 SEK 8,000-26 17.04.2014 8,960,372 6,630,000-196,490 17.04.2014 110,000 148,577 3,347 17.04.2014 SEK 8,000 1,224 24 17.04.2014 5,699,958 4,220,000-128,392 17.04.2014 173,145 SEK 1,132,000-3,433 17.04.2014 1,670,000 2,260,121 46,358 17.04.2014 CHF 25,000 27,708 686 17.04.2014 CHF 460,000 509,828 12,629 17.04.2014 SEK 10 2 0 17.04.2014 SEK 3,569,990 546,191 10,674 17.04.2014 355,000 480,445 9,854 17.04.2014 CHF 1,110,000 1,230,237 30,474 150
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Sub-Fund Purchase Sale Unrealised gain/loss in Sub-Fund currency Vontobel Fund - Belvista Commodity (continued) Hedged Share Classes 17.04.2014 485,000 662,862 6,984 17.04.2014 475,000 649,195 6,840 17.04.2014 SEK 2,365,000 365,944 2,961 17.04.2014 SEK 111 17 0 17.04.2014 CHF 800,000 898,096 10,524 17.04.2014 CHF 20,000 22,452 263 17.04.2014 CHF 392,000 440,067 5,157 17.04.2014 375,000 514,091 3,831 17.04.2014 925,000 1,268,090 9,451 17.04.2014 705,000 970,201 3,492 17.04.2014 1,677,000 2,307,840 8,306 17.04.2014 SEK 2,739,870 421,915 5,464 17.04.2014 SEK 130 20 0 17.04.2014 CHF 1,150,000 1,297,550 8,593 17.04.2014 CHF 25,000 28,208 187 17.04.2014 CHF 460,000 519,020 3,437 17.04.2014 350,000 480,765 2,629 17.04.2014 2,200,000 3,021,953 16,522 17.04.2014 759,420 550,000-199 4,507,307 Vontobel Fund - Belvista Dynamic Commodity Hedged Share Classes 17.04.2014 1,532,000 2,097,029 18,854 17.04.2014 19,375,000 26,520,849 238,448 17.04.2014 CHF 8,720,000 9,690,418 213,549 17.04.2014 CHF 4,490,000 4,989,676 109,958 17.04.2014 5,000 6,797 108 17.04.2014 1,435,00 1,950,816 31,098 17.04.2014 CHF 140,000 155,745 3,263 17.04.2014 CHF 70,000 77,873 1,632 17.04.2014 20,000 27,366 256 17.04.2014 6,970,000 9,537,093 89,348 17.04.2014 20,000 27,132 491 17.04.2014 360,000 488,376 8,829 17.04.2014 CHF 110,000 121,990 2,946 17.04.2014 CHF 60,000 66,540 1,607 17.04.2014 479,116 355,000-11,184 17.04.2014 26,992 20,000-630 17.04.2014 126,028 CHF 114,000-3,449 17.04.2014 66,331 CHF 60,000-1,815 17.04.2014 CHF 70,000 77,583 1,921 17.04.2014 CHF 140,000 155,165 3,844 17.04.2014 25,000 33,834 694 17.04.2014 440,000 595,481 12,214 17.04.2014 4,500,000 6,114,281 100,782 17.04.2014 20,000 27,418 204 17.04.2014 477,000 653,923 4,874 17.04.2014 CHF 119,000 133,592 1,566 17.04.2014 CHF 65,000 72,970 855 17.04.2014 CHF 105,000 118,472 785 17.04.2014 CHF 70,000 78,981 523 17.04.2014 24,000 33,028 119 17.04.2014 5,734,509 4,167,000-20,640 811,050 Vontobel Fund - Target Return () Hedged Share Classes 16.04.2014 729,187 1,000,000 5,140 5,140 Vontobel Fund - Robusta Hedged Share Classes 03.03.2014 81 CHF 99 0 04.03.2014 41 CHF 50 0 31.03.2014 CHF 15,379,158 12,620,039 25,278 31.03.2014 142,110 103,989-1,095 31.03.2014 CHF 1,024 840 2 31.03.2014 1,026 750-8 31.03.2014 CHF 54,026 44,429-7 24,170 151
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Sub-Fund Purchase Sale Unrealised gain/loss in Sub-Fund currency Vontobel Fund - Robusta Dynamic Hedged Share Classes 03.03.2014 74,332 CHF 90,655-190 31.03.2014 CHF 2,702 2,218 4 31.03.2014 CHF 6,283,505 5,156,204 10,328 31.03.2014 4,614,560 3,376,712-35,551 31.03.2014 CHF 4,063,245 3,334,273 6,678 31.03.2014 4,476,387 3,275,603-34,487 31.03.2014 CHF 90,655 74,399 141 31.03.2014 CHF 9,451 7,772-1 -53,078 Vontobel Fund - Emerging s Debt Hedged Share Classes 22.04.2014 22,955,355 16,900,000-385,665 22.04.2014 1,550,000 2,094,103 46,641 22.04.2014 2,000,000 MXN 26,820,000-16,638 22.04.2014 5,753,958 4,200,000-46,768 24.03.2014 2,081,425 BRL 5,000,000-44,122 24.04.2014 2,064,751 BRL 5,000,000-46,000 03.03.2014 73,698 53,907-755 03.03.2014 345,993 CHF 308,772-4,572 04.03.2014 79,836 58,332-729 04.03.2014 22,529 CHF 20,026-207 31.03.2014 34,043,691 46,531,461 487,131 31.03.2014 CHF 50,467,435 56,602,335 709,089 31.03.2014 5,251,940 7,178,436 75,150 31.03.2014 CHF 1,234,738 1,384,835 17,349 31.03.2014 56,069 76,702 736 31.03.2014 CHF 13,117 14,746 149 790,789 Vontobel Fund - Pure Premium Strategy Hedged Share Classes 03.03.2014 CHF 1,980 3,218 29 04.03.2014 CHF 41,555 46,750 430 04.03.2014 93,532 128,011 1,170 31.03.2014 CHF 16,541,487 18,552,297 232,415 31.03.2014 CHF 2,746,037 2,777,028 34,789 31.03.2014 11,547 8,441-111 31.03.2014 1,974,481 2,698,752 28,253 31.03.2014 127,950 93,532-1,229 31.03.2014 6,922,995 9,462,460 99,061 394,807 b) Futures The following futures contracts were open as at February 28, 2014: Sub-Fund Contract Currency Unrealised Number of Engagement gain/loss in contracts Sub-Fund currency Vontobel Fund - Euro Bond O BUND 06/03/2014 10 1,443,800 6,700 6,700 Vontobel Fund - Eastern European Bond Vontobel Fund - Absolute Return Bond () 10Y TREASURY NOTES USA -75-9,339,844-17,818 19/06/2014-17,818 10 YEAR TREAS.BOND AUD -168-19,607,398-305,429 AUSTRAL.6% 17/03/2014 EX SCHWEIZ 6% FED BD CHF 68 10,017,760 63,402 8-13Y 06/03/2014 O BUND 06/06/2014-70 -9,973,600-3,500 O OAT FUTURES 58 7,818,980 29,713 06/06/2014 LONG GILT STERLING GBP 82 8,973,260 33,799 FUTURES 26/06/2014 JAPANESE GOV. BDS JPY 7 1,016,190,000 13,904 FUTURE 10Y 11/03/2014 10Y TREASURY NOTES USA -86-10,709,688-31,620 19/06/2014-199,730 152
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Sub-Fund Contract Currency Vontobel Fund - Absolute Return Bond (CHF) Vontobel Fund - Global Convertible Bond Vontobel Fund - Emerging s Debt 153 Number of contracts Engagement Unrealised gain/loss in Sub-Fund currency 10 YEAR TREAS.BOND AUD -140-16,339,498 CHF -303,984 AUSTRAL.6% 17/03/2014 EX SCHWEIZ 6% CHF 70 10,459,720 CHF 75,680 FED BD 8-13Y 06/03/2014 O BUND 06/06/2014-90 -12,823,200 CHF -5,474 O OAT FUTURES 68 9,167,080 CHF 42,379 06/06/2014 LONG GILT STERLING GBP 87 9,520,410 CHF 43,624 FUTURES 26/06/2014 JAPANESE GOV. BDS JPY 7 1,016,190,000 CHF 16,914 FUTURE 10Y 11/03/2014 10Y TREASURY NOTES USA -76-9,464,375 CHF -27,635 19/06/2014 CHF -158,496 O STOXX 50 PR -200-6,280,000-57,500 21/03/2014 S&P 500 EMINI INDEX -100-9,287,500-107,926 21/03/2014-165,426 O BOBL 06/03/2014-90 -11,933,400-251,507-251,507 Vontobel Fund - Robusta O BUND 06/06/2014-12 -1,709,760-10,680 O-BUXLFUTURES -12-1,544,880-16,320 06/03/2014 / SPOT - CROSS 40 6,911,000 52,855 RATES 17/03/2014 10Y TREASURY NOTES USA -15-1,867,969-7,806 19/06/2014 30Y TREASURY NOTES USA -15-2,153,906-29,527 19/06/2014-11,479 c) Swaps The counterparties to the swap contracts listed below are Barclays Bank and Société Générale CIB. The following swaps contracts were open as at February 28, 2014: Vontobel Fund - Absolute Return Bond (CHF) Credit Default Swaps Type Counterparty Notional Currency Sub-Fund pays to/receives from the counterparty Interest receivable on swaps Unrealised gain/loss in Sub-Fund currency CDS Protection BARCLAYS BK 26,000,000 Seller PLC -2,128,750 20.12.2018 252,778 1,835,298 CDS Protection BARCLAYS BK 21,000,000 Seller PLC -2,220,058 20.12.2018 204,167 2,662,480 CDS Protection BARCLAYS BK 19,000,000 Seller PLC -1,837,304 20.12.2018 184,722 2,408,910 Underlyings: MARKIT CDX.NA.HY.21 12/18, MARKIT ITRX XOVER 12/18 S20, MARKIT ITRX XOVER 12/18 S20 Type Vontobel Fund - Absolute Return Bond () Credit Default Swaps Counterparty Notional Currency Sub-Fund pays to/receives from the counterparty Total CHF 695,736 CHF 6,906,685 Interest receivable on swaps Unrealised gain/loss in Sub-Fund currency CDS Protection BARCLAYS BK Seller PLC 1,000,000-387 20.12.2018 1,944 13,717 CDS Protection BARCLAYS BK 24,000,000 Seller PLC -1,965,000 20.12.2018 168,941 1,392,600 CDS Protection BARCLAYS BK 18,000,000 Seller PLC -1,774,709 20.12.2018 175,000 1,875,951 CDS Protection BARCLAYS BK 19,000,000 Seller PLC -2,008,623 20.12.2018 184,722 1,980,170 Underlyings: MARKIT ITRX OPE 12/18, MARKIT CDX.NA.HY.21 12/18, MARKIT ITRX XOVER 12/18 S20 Total 530,608 5,262,438
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Type Vontobel Fund - Corporate Bond Mid Yield Credit Default Swaps Counterparty Notional Currency Sub-Fund pays to/receives from the counterparty Interest receivable on swaps Unrealised gain/loss in Sub-Fund currency CDS Protection SG PARIS Seller 5,000,000-67,492 20.12.2018 38,889 68,584 CDS Protection SG PARIS Seller 20,000,000-51,086 20.12.2018 9,722 274,335 Underlyings: MARKIT ITRX OPE 12/18 d) Contracts for Difference Total 48,611 342,919 The counterparties to the CFD listed below are UBS, Macquarie Bank Limited, Société Générale, Barclays Bank, Bank of America Merrill Lynch, Credit Suisse and Goldman Sachs. The following contracts for difference were open as at February 28, 2014: Vontobel Fund - Belvista Commodity - Long Positions CFD Currency Notional Unrealised gain/loss in Sub-Fund currency DJUBSCI-F3 31.12.2099 240,377,370 1,560,836 UBS ETC 2013-PERP CERT DJUBSCL 31.12.2099 4,000,000 3,148 UBS LN 13-PERP CERT DJUBSCO 31.12.2099 21,000,000 208,918 UBS LN PERP CERT DJPLE 31.12.2099 20,000,000 496,347 UBS LN PERP CERT DJUBSAL3 31.12.2099 12,000,000 217,280 UBS LN PERP CERT DJUBSBO 31.12.2099 5,000,000 0 UBS LN PERP CERT DJUBSBO3 31.12.2099 6,000,000 364,830 UBS LN PERP CERT DJUBSCL6 31.12.2099 38,000,000 652,050 UBS LN PERP CERT DJUBSCN 31.12.2099 11,000,000 212,991 UBS LN PERP CERT DJUBSCT 31.12.2099 8,000,000-191,913 UBS LN PERP CERT DJUBSGC 31.12.2099 28,000,000 507,194 UBS LN PERP CERT DJUBSHG 31.12.2099 8,000,000-205,404 UBS LN PERP CERT DJUBSHO 31.12.2099 27,000,000 327,734 UBS LN PERP CERT DJUBSKC 31.12.2099 7,000,000 1,891,158 UBS LN PERP CERT DJUBSKW 31.12.2099 7,500,000 104,358 UBS LN PERP CERT DJUBSLC3 31.12.2099 15,000,000 181,462 UBS LN PERP CERT DJUBSNG 31.12.2099 57,000,000 3,049,262 UBS LN PERP CERT DJUBSNI 31.12.2099 23,000,000 764,493 UBS LN PERP CERT DJUBSRB 31.12.2099 11,000,000 131,814 UBS LN PERP CERT DJUBSSB 31.12.2099 12,000,000 1,290,250 UBS LN PERP CERT DJUBSSI 31.12.2099 11,000,000 596,040 UBS LN PERP CERT DJUBSSM 31.12.2099 8,000,000 434,592 UBS LN PERP CERT DJUBSSY 31.12.2099 26,000,000 1,178,340 UBS LN PERP CERT DJUBSSY3 31.12.2099 7,000,000 449,009 UBS LN PERP CERT DJUBSWH 31.12.2099 16,000,000 495,577 UBS LN PERP CERT DJUBSZS 31.12.2099 10,000,000 346,628 UBS LN PERP CERT/DJUBSLH 31.12.2099 5,000,000 144,468 Total 15,211,464 Vontobel Fund - Belvista Commodity - Short Positions CFD Currency Notional Unrealised gain/loss in Sub-Fund currency DJUBSCI-F3 31.12.2099 3,000,000 0 UBS LN 13-PERP CERT DJUBSCO 31.12.2099 5,000,000-4,148 UBS LN PERP CERT DJPLE 31.12.2099 6,000,000-119,821 UBS LN PERP CERT DJUBSCL3 31.12.2099 19,000,000-429,568 UBS LN PERP CERT DJUBSCN3 31.12.2099 8,000,000-292,684 UBS LN PERP CERT DJUBSHO 31.12.2099 16,000,000-86,961 UBS LN PERP CERT DJUBSKW 31.12.2099 4,000,000 57,041 UBS LN PERP CERT DJUBSNG 31.12.2099 6,000,000-115,569 UBS LN PERP CERT DJUBSNG3 31.12.2099 16,500,000 170,416 UBS LN PERP CERT DJUBSNI 31.12.2099 8,000,000-148,063 UBS LN PERP CERT DJUBSSM 31.12.2099 3,000,000-2 UBS LN PERP CERT DJUBSSY3 31.12.2099 15,000,000-806,486 UBS LN PERP CERT DJUBSWH 31.12.2099 13,000,000-167,397 UBS LN PERP CERT DJUBSZS 31.12.2099 3,000,000-27,302 Total -1,971,030 154
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Vontobel Fund - Belvista Commodity - Short/Long Positions Total 13,240,434 Vontobel Fund - Belvista Dynamic Commodity - Long Positions CFD Currency Notional Unrealised gain/loss in Sub-Fund currency DJUBSCI-F3 31.12.2099 47,794,651 310,344 UBS ETC 2013-PERP CERT DJUBSCL 31.12.2099 1,000,000 787 UBS LN 13-PERP CERT DJUBSCO 31.12.2099 5,200,000 37,611 UBS LN PERP CERT/BSKT 31.12.2099 7,200,000 73,177 UBS ETC 2013-PERP CERT DJUBSCL 31.12.2099 1,000,000 787 UBS LN 13-PERP CERT DJUBSCO 31.12.2099 5,200,000 37,611 UBS LN PERP CERT 31.12.2099 3,100,000 17,476 UBS LN PERP CERT DJPLE 31.12.2099 3,400,000 113,099 UBS LN PERP CERT DJUBSBO 31.12.2099 1,000,000 35,248 UBS LN PERP CERT DJUBSCL6 31.12.2099 10,700,000 183,603 UBS LN PERP CERT DJUBSCN 31.12.2099 3,200,000 109,439 UBS LN PERP CERT DJUBSCT3 31.12.2099 400,000-6,031 UBS LN PERP CERT DJUBSGC 31.12.2099 2,000,000 55,643 UBS LN PERP CERT DJUBSHG 31.12.2099 1,000,000-25,675 UBS LN PERP CERT DJUBSHO3 31.12.2099 3,000,000 22,294 UBS LN PERP CERT DJUBSKW 31.12.2099 3,000,000 74,745 UBS LN PERP CERT DJUBSLC3 31.12.2099 800,000 7,304 UBS LN PERP CERT DJUBSNG 31.12.2099 6,900,000 395,975 UBS LN PERP CERT DJUBSNI 31.12.2099 3,600,000 127,416 UBS LN PERP CERT DJUBSRB 31.12.2099 1,200,000 16,159 UBS LN PERP CERT DJUBSSB 31.12.2099 1,500,000 161,281 UBS LN PERP CERT DJUBSSI 31.12.2099 1,000,000 54,185 UBS LN PERP CERT DJUBSSM 31.12.2099 900,000 40,265 UBS LN PERP CERT DJUBSSY 31.12.2099 1,600,000 52,760 UBS LN PERP CERT DJUBSZS 31.12.2099 1,200,000 46,937 UBS LN PERP CERT/DJUBSAL 31.12.2099 1,000,000 13,181 UBS LN PERP CERT/DJUBSKC3 31.12.2099 500,000 132,811 UBS LN PERP CERT/DJUBSLH 31.12.2099 800,000 23,115 Total 2,058,615 Vontobel Fund - Belvista Dynamic Commodity - Short Positions CFD Currency Notional Unrealised gain/loss in Sub-Fund currency DJUBSCI-F3 31.12.2099 5,500,000-1,327 UBS ETC 2013-PERP CERT DJUBSCL 31.12.2099 4,000,000-127,184 UBS LN 13-PERP CERT DJUBSCO 31.12.2099 2,100,000 7,431 UBS LN PERP CERT 31.12.2099 1,100,000 16,449 UBS LN PERP CERT DJPLE 31.12.2099 1,000,000-24,284 UBS LN PERP CERT DJUBSCL3 31.12.2099 6,000,000-173,547 UBS LN PERP CERT DJUBSCO6 31.12.2099 2,500,000-9,955 UBS LN PERP CERT DJUBSHG 31.12.2099 1,500,000 26,805 UBS LN PERP CERT DJUBSHO3 31.12.2099 2,200,000-5,649 UBS LN PERP CERT DJUBSKW 31.12.2099 1,000,000-10,178 UBS LN PERP CERT DJUBSKW6 31.12.2099 1,800,000-65,902 UBS LN PERP CERT DJUBSNG 31.12.2099 600,000-11,557 UBS LN PERP CERT DJUBSNG3 31.12.2099 4,500,000-113,849 UBS LN PERP CERT DJUBSNI 31.12.2099 1,600,000-29,613 UBS LN PERP CERT DJUBSSB 31.12.2099 500,000-50,499 UBS LN PERP CERT DJUBSZS 31.12.2099 400,000-3,640 UBS LN PERP CERT/BSKT 31.12.2099 15,600,000-393,595 Total -955,559 Vontobel Fund - Belvista Dynamic Commodity - Short/Long Positions Total 1,103,056 155
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) e) Options The following options were open as at February 28, 2014: Vontobel Fund - China Stars Equity Description Quantity Strike price Currency value Commitment CALL MGM CHINA -1 35 HKD 27.02.2014-0.52 - Total HKD -0.52 Vontobel Fund - Sustainable Global Leaders Description Quantity Strike price Currency value Commitment CALL NIKKEI 225 INDI 25 15,500 JPY 11.04.2014 44,090 998,051 CALL NIKKEI 225 INDI 6 16,000 JPY 14.03.2014 647 43,394 CALL NIKKEI 225 INDI 32 16,000 JPY 14.03.2014 3,449 216,968 CALL NIKKEI 225 INDI -20 17,250 JPY 14.03.2014-196 -14,465 Total 47,989 Vontobel Fund - Target Return () Description Quantity Strike price Currency value Commitment CALL S&P 500 INDICES -15 1,870 22.03.2014-14,010-817,110 PUT S&P 500 INDICES -15 1,700 22.03.2014-1,575 83,437 PUT S&P 500 INDICES 15 1,780 22.03.2014 4,453-224,417 Total -11,132 Vontobel Fund - Robusta Description Quantity Strike price Currency value Commitment CALL CREDIT SUISSE GROUP /NOM. -170 28 CHF 26.03.2014-6,624-164,749 CALL SAP AG -45 58 17.03.2014-5,560-156,712 CALL SAP AG -58 58 31.03.2014-6,350-192,877 CALL WPP PLC SHS -19 13 GBP 04.04.2014-10,886-168,767 CALL GAZPR SPONS.ADR REP 2SHS -500 8.3 26.03.2014-3,548-44,201 CALL THERMO FISHER SCI -41 124.4 28.03.2014-8,300-188,860 PUT O STOXX 50 PR -100 2,900 21.03.2014-4,800 208,950 CALL O STOXX 50 PR -50 3,150 21.03.2014-18,050-727,306 PUT O STOXX 50 PR 100 3,075 21.03.2014 21,900-908,129 PUT UKX FTSE 100 INDEX -60 6,400 GBP 21.03.2014-6,552 341,553 CALL UKX FTSE 100 INDEX -30 6,900 GBP 21.03.2014-6,916-594,704 PUT UKX FTSE 100 INDEX 60 6,700 GBP 21.03.2014 31,305-1,555,070 CALL S&P 500 INDICES -60 1,870 22.03.2014-56,040-3,270,870 PUT S&P 500 INDICES -110 1,680 22.03.2014-9,557 458,083 PUT S&P 500 INDICES 110 1,780 22.03.2014 32,654-1,643,472 Total -57,325 156
Notes to the Financial Statements 9 Off-balance-sheet transactions (continued) Vontobel Fund - Robusta Dynamic Description Quantity Strike price Currency value Commitment CALL CREDIT SUISSE GROUP /NOM. -110 28 CHF 26.03.2014-4,286-107,160 CALL UBS AG /NAMENSAKTI -94 18.1 CHF 12.03.2014-6,328-128,069 CALL BNP PARIBAS -50 59 04.04.2014-9,183-167,274 CALL SAP AG -55 58 17.03.2014-6,795-193,411 CALL SAP AG -30 58 31.03.2014-3,285-99,319 CALL O STOXX 50 PR -50 3,150 21.03.2014-18,050-726,596 PUT O STOXX 50 PR -100 2,900 21.03.2014-4,800 209,092 PUT O STOXX 50 PR 100 3,075 21.03.2014 21,900-906,939 CALL BHP BILLITON PLC -11 19 GBP 26.02.2014-5,332-159,433 CALL WPP PLC SHS -16 13 GBP 04.04.2014-9,167-141,137 CALL UKX FTSE 100 INDEX -40 6,900 GBP 21.03.2014-9,222-791,938 PUT UKX FTSE 100 INDEX -40 6,400 GBP 21.03.2014-4,368 227,388 PUT UKX FTSE 100 INDEX 40 6,700 GBP 21.03.2014 20,870-1,037,621 CALL GAZPR SPONS.ADR REP -370 8.3 21.03.2014-2,625-41,819 CALL GAZPR SPONS.ADR REP -370 8.3 26.03.2014-2,095-26,137 CALL ROSNEFT OIL CO OJS -420 6.95 03.04.2014-3,436-73,182 CALL ROSNEFT OIL CO OJS -420 7 28.03.2014-2,460-60,114 CALL THERMO FISHER SCI -35 124.4 28.03.2014-7,085-162,147 CALL S&P 500 INDICES -110 1,870 22.03.2014-102,740-5,998,341 PUT S&P 500 INDICES -110 1,680 22.03.2014-9,557 460,003 PUT S&P 500 INDICES 60 1,780 22.03.2014 17,811-896,484 PUT S&P 500 INDICES 50 1,820 22.03.2014 31,858-1,628,308 Total -118,378 Vontobel Fund - Pure Premium Strategy Description Quantity Strike price Currency value Commitment CALL FUT-CANADIAN $ CUR -1 90.5 07.03.2014-350 -39,930 CALL FUT-CANADIAN $ CUR 1 93 07.03.2014 10 - PUT FUT-CANADIAN $ CURR 1 88 07.03.2014 10 - PUT FUT-CANADIAN $ CURR -1 90.5 07.03.2014-510 48,803 Total -840 10 Securities valuation Securities valued at 0 The Board of Directors has approved the decision from February 28, 2014, to value certain securities at zero. Securities ISIN Code Sub-Funds PEACE MARK(HOLDINGS)LIMITED BMG6957A2098 - Vontobel Fund - Far East Equity - Vontobel Fund - Emerging s Equity Irish Bank ResolutionCorp Ltd/Old IE00B06H8J93 - Vontobel Fund - Robusta - Vontobel Fund - Sustainable Global Leaders Protonex Technology US74373K1097 - Vontobel Fund - New Power Due to the financial market conditions, the following securities are valued at 0 as of February 28, 2014: Securities ISIN Code Sub-Funds Sydney Street FinanceLtd 05 FRN XS0217590230 - Vontobel Fund - Corporate Bond Mid Yield Oxford Street FinanceLtd 05 FRN XS0232970433 - Vontobel Fund - Corporate Bond Mid Yield Romania PropertyFund Ltd GG00B2334D09 - Vontobel Fund - Sustainable Emerging s Leaders 157
Notes to the Financial Statements 11 Dividend distribution The Board of Directors decided on November 25, 2013 to pay out the following dividends. These were approved at the General Meeting of Shareholders on February 11, 2014. Vontobel Fund - Share class Record date Ex-date Payment date Currency Amount per share Swiss Money A 26.11.2013 27.11.2013 02.12.2013 CHF 0.94 Euro Money A 26.11.2013 27.11.2013 02.12.2013 2.52 US Dollar Money A 26.11.2013 27.11.2013 02.12.2013 1.19 Swiss Franc Bond A 26.11.2013 27.11.2013 02.12.2013 CHF 1.24 Euro Bond A 26.11.2013 27.11.2013 02.12.2013 3.20 Corporate Bond Mid Yield A 26.11.2013 27.11.2013 02.12.2013 3.45 High Yield Bond AS 26.11.2013 27.11.2013 02.12.2013 5.63 US Dollar Bond A 26.11.2013 27.11.2013 02.12.2013 2.34 Eastern European Bond A 26.11.2013 27.11.2013 02.12.2013 2.23 Absolute Return Bond (CHF) A 26.11.2013 27.11.2013 02.12.2013 CHF 2.32 Absolute Return Bond () A 26.11.2013 27.11.2013 02.12.2013 2.68 Global Convertible Bond A 26.11.2013 27.11.2013 02.12.2013 3.29 Emerging s Bond A 26.11.2013 27.11.2013 02.12.2013 5.07 Swiss Mid and Small Cap Equity A 26.11.2013 27.11.2013 02.12.2013 CHF 0.42 European Mid and Small Cap Equity A 26.11.2013 27.11.2013 02.12.2013 0.56 Japanese Equity A 26.11.2013 27.11.2013 02.12.2013 JPY 0.00 China Stars Equity A 26.11.2013 27.11.2013 02.12.2013 1.22 European Equity A 26.11.2013 27.11.2013 02.12.2013 0.89 US Equity A 26.11.2013 27.11.2013 02.12.2013 1.00 Global Equity A 26.11.2013 27.11.2013 02.12.2013 0.43 Global Equity (ex-us) A 26.11.2013 27.11.2013 02.12.2013 1.06 Emerging s Equity A 26.11.2013 27.11.2013 02.12.2013 3.74 Emerging s Equity AHI 26.11.2013 27.11.2013 02.12.2013 1.01 Far East Equity A 26.11.2013 27.11.2013 02.12.2013 2.17 New Power A 26.11.2013 27.11.2013 02.12.2013 0.32 Clean Technology A 26.11.2013 27.11.2013 02.12.2013 0.42 Future Resources A 26.11.2013 27.11.2013 02.12.2013 0.23 Sustainable Asia (ex Japan) Equity A 26.11.2013 27.11.2013 02.12.2013 1.09 Sustainable Emerging s Leaders A 26.11.2013 27.11.2013 02.12.2013 0.59 Sustainable Global Leaders A 26.11.2013 27.11.2013 02.12.2013 0.00 12 Securities lending transactions The Board of Directors has decided that a series of Sub-Funds may participate in securities lending transactions. In such transactions, securities contained in the assets of a Sub-Fund are transferred to a counterparty against payment of a consideration in line with prevailing market rates for a specific period of time. Income from securities lending transactions are credited to the respective Sub-Fund after deduction of the costs of the lending agent, the management company and custodian bank of the Fund. The income and direct and indirect costs of the securities lending transaction will be shown separately in the statement of net income and are broken down as follows: Vontobel Fund - Currency Gross income Costs and fees Net income Swiss Mid and Small Cap Equity CHF 1,611.59 535.81 1,075.78 European Mid and Small Cap Equity 97,179.77 32,336.64 64,843.12 Japanese Equity JPY 60,606.63 20,161.51 40,445.12 China Stars Equity 28,341.95 9,430.72 18,911.23 New Power 115,318.39 38,372.17 76,946.23 Clean Technology 2,499.81 832.07 1,667.74 Future Resources 109,865.76 36,557.97 73,307.79 As at February 28, 2014, the market value and the value of collateral received were as follows: Vontobel Fund - Currency value Collateral Swiss Mid and Small Cap Equity CHF 143,373.29 150,607.51 European Mid and Small Cap Equity 11,095,667.44 13,111,487.51 Japanese Equity JPY 142,038.50 149,205.37 China Stars Equity 8,165,958.92 8,788,070.63 New Power 14,047,672.10 15,388,881.67 Clean Technology 55,456.45 58,637.22 Future Resources 8,756,277.69 9,395,382.48 158
Notes to the Financial Statements 12 Securities lending transactions (continued) The collateral received comprises exclusively government bonds from the following countries: Germany, France, Netherlands, United States, Sweden, Switzerland, United Kingdom The counterparties to the above-mentioned securities lending transactions are: Barclays Capital Securities Limited, Citigroup Global s Limited, Credit Suisse Securities (Europe) Limited, Deutsche Bank AG, JP Morgan Securities Plc, Morgan Stanley & Co. Intl Plc, UBS AG London Branch, BNP PARIBAS ARBITRAGE, MERRILL LYNCH INTERNATIONAL 13 Events during reporting period under review By way of a resolution dated October 25, 2013 the Board of Directors decided to redeem all shares of the Sub-Fund Vontobel Fund - Diversified Alpha UCITS at the net asset value on the dissolution date. The dissolution date was November 29, 2013. The following Sub-Funds were launched on September 2, 2013: Sub-Funds Vontobel Fund - Robusta Vontobel Fund - Robusta Dynamic The following Sub-Funds were merged on September 3, 2013: Name of merging Sub-Fund Vontobel Fund - Defensive Balanced Portfolio (CHF) Vontobel Fund - Defensive Balanced Portfolio () Name of receiving Sub-Fund Vontobel Fund - Robusta The following Sub-Funds were launched on October 21, 2013: Sub-Funds Vontobel Fund - Pure Dividend Strategy Vontobel Fund - Pure Momentum Strategy The following Sub-Fund was launched on December 9, 2013: Sub-Funds Vontobel Fund - Pure Premium Strategy The following Sub-Funds were renamed on January 31, 2014: Sub-Fund name Vontobel Fund - European Value Equity Vontobel Fund - US Value Equity Vontobel Fund - Global Value Equity Vontobel Fund - Global Value Equity (ex-us) New name of Sub-Fund Vontobel Fund - European Equity Vontobel Fund - US Equity Vontobel Fund - Global Equity Vontobel Fund - Global Equity (ex-us) 159
Additional Unaudited Appendix TER (Total Expense Ratio) In accordance with the Swiss Funds & Asset Management Association (SFAMA) guideline, the Fund must show a TER for the past 12-month period. This figure expresses the total fees and costs which are charged on an ongoing basis to the Sub-fund s assets (operating expenditure) retrospectively as a percentage of net Fund assets, and is generally calculated according to the following formula: TER = Total operating expenses in AC* Average net assets in AC* X 100 * AC = units in Sub-fund accounting currency The TER of the Sub-Fund, excluding the performance fee for classes A to C (), is defined as follows: Distributing Accumulating Vontobel Fund - A AHI () AM () AM () AS B B (CHF) B () B (SEK) C (CHF) C () Swiss Money 0.31% - - - - 0.31% - - - - - Euro Money 0.46% - - - - 0.46% - - - - 1.11% US Dollar Money 0.47% - - - - 0.47% - - - - - Swiss Franc Bond 0.90% - - - - 0.91% - - - 1.30% - Euro Bond 1.12% - - 1.50% - 1.12% - - - - - Corporate Bond Mid Yield 1.31% - - - - 1.32% - - - - 1.70% High Yield Bond - - - - 1.75% 1.35% - - - - - High Yield Bond 1 - - - - 1.79% 1.43% - - - - - US Dollar Bond 1.12% - - - - 1.12% - - - - - Eastern European Bond 1.38% - 1.78% 1.78% - 1.38% - - - - 1.79% Absolute Return Bond (CHF) 0.93% - - - - 0.93% - - - - - Absolute Return Bond (CHF) 1 0.93% - - - - 0.93% - - - - - Absolute Return Bond () 1.13% - - 1.51% - 1.13% - - - - 1.54% Absolute Return Bond () 1 1.13% - - 2.03% - 1.13% - - - - 1.54% Global Convertible Bond 1.36% - - - - 1.37% - - - - 1.76% Emerging s Bond 1.42% - - 1.81% - 1.42% 1.43% 1.43% - - - Swiss Mid and Small Cap Equity 2.08% - - - - 2.08% - - - - - European Mid and Small Cap Equity 2.19% - - - - 2.15% - - - - 2.77% Japanese Equity 1.68% - - - - 1.68% - - - - - China Stars Equity 2.20% - - - - 2.20% - - - - - European Equity 2.04% - - - - 2.05% - - - - 2.64% US Equity 2.03% - - - - 2.04% - - - - - Global Equity 2.05% - - - - 2.05% - - 2.05% - - Global Equity (ex-us) 2.07% - - - - 2.06% - - - - - Emerging s Equity 2.09% 1.30% - - - 2.09% - - 2.09% - - Far East Equity 2.06% - - - - 2.07% - - - - - New Power 2.15% - - - - 2.15% - - - - 2.71% Clean Technology 2.19% - - - - 2.20% - - - - - Future Resources 2.18% - - - - 2.17% - - - - 2.77% Sustainable Asia (ex Japan) Equity 2.16% - - - - 2.16% - - - - - Sustainable Emerging s 2.10% - - - - 2.10% - - - - - Leaders Sustainable Global Leaders 2.01% - - - - 2.00% - - - - - Belvista Commodity - - - - - 1.83% - - - - - Belvista Dynamic Commodity - - - - - 1.91% - - - - - Belvista Dynamic Commodity 1 - - - - - 1.92% - - - - - Target Return () - - - - - 1.70% - - - - 2.09% Target Return () 1 - - - - - 1.86% - - - - 2.23% Emerging s Debt - - - - - 1.40% - - - - - Robusta 1.80% - - - - 1.80% - - - - - Robusta Dynamic 1.63% - - - - 1.63% - - - - - Pure Dividend Strategy - - - - - 1.86% - - - - - Pure Momentum Strategy - - - - - 1.87% - - - - - Pure Momentum Strategy 1 - - - - - 1.99% - - - - - Pure Premium Strategy - - - - - 1.88% - - - - - Pure Premium Strategy 1 - - - - - 1.88% - - - - - 1 TER including the performance fee. 160
Additional Unaudited Appendix TER (Total Expense Ratio) (continued) The TER of the Sub-Fund, excluding the performance fee if applicable, for classes C () to HI (), is defined as follows: Accumulating Vontobel Fund - C () C (SEK) G (GBP) H (CHF) H () H (GBP) H (SEK) H () HC () HI (CHF) HI () Swiss Money - - - - - - - - - - - Euro Money - - - - - - - - - - - US Dollar Money - - - - - - - - - - - Swiss Franc Bond - - - - - - - - - - - Euro Bond - - - - - - - - - - - Corporate Bond Mid Yield - - - 1.40% - - - - - - - High Yield Bond - - - 1.51% - - - 1.51% - 0.76% - High Yield Bond 1 - - - 1.56% - - - 1.62% - 0.76% - US Dollar Bond - - - - - - - - - - - Eastern European Bond - - - - - - - - - - - Absolute Return Bond (CHF) - - - - - - - - - - - Absolute Return Bond (CHF) 1 - - - - - - - - - - - Absolute Return Bond () - - - - - - - 1.12% - - - Absolute Return Bond () 1 - - - - - - - 1.17% - - - Global Convertible Bond - - - 1.47% - - - 1.47% - 0.87% - Emerging s Bond 1.82% - - 1.50% 1.50% - - - - 0.91% - Swiss Mid and Small Cap Equity - - - - - - - - - - - European Mid and Small Cap Equity - - - - - - - - - - - Japanese Equity - - - - - - - - - - - China Stars Equity 2.80% - - - - - - - - - - European Equity - - - - - - - - - - - US Equity 2.64% - - - 2.13% - - - - - 1.26% Global Equity 2.65% - - - 2.15% - 2.15% - 2.74% - 1.29% Global Equity (ex-us) - - - - 2.17% - - - - - 1.30% Emerging s Equity 2.69% 2.69% 0.93% 2.18% 2.19% - 2.18% - 2.79% 1.30% 1.30% Far East Equity 2.66% - - - 2.17% - - - - - 1.33% New Power 2.70% - - 2.25% - 2.22% - 2.25% - - - Clean Technology - - - - - - - - - - - Future Resources 2.76% - - 2.27% - - - - - - - Sustainable Asia (ex Japan) Equity - - - - 2.25% - - - - - 1.39% Sustainable Emerging s Leaders - - - - - - - - - - - Sustainable Global Leaders - - - 2.08% 2.07% - - - - - - Belvista Commodity 2,43% - - 1.83% 1.83% - 1.83% - - 1.04% 1.04% Belvista Dynamic Commodity - - - 1.91% 1.91% - - - - 1.12% 1.12% Belvista Dynamic Commodity 1 - - - 1.92% 1.92% - - - - 1.15% 1.13% Target Return () - - - - - - - - - - - Target Return () 1 - - - - - - - - - - - Emerging s Debt - - - 1.48% 1.48% - - - - 0.89% 0.87% Robusta - - - 1.89% - - - 1.89% - 1.21% - Robusta Dynamic - - - 1.73% - - - 1.73% - 1.06% - Pure Dividend Strategy - - - 1.97% 1.97% - - - - 1.17% 1.17% Pure Momentum Strategy - - - 1.97% 1.97% - - - - 1.17% 1.17% Pure Momentum Strategy 1 - - - 2.01% 2.06% - - - - 1.31% 1.35% Pure Premium Strategy - - - 1.96% 1.96% - - - - 1.16% 1.16% Pure Premium Strategy 1 - - - 1.96% 1.96% - - - - 1.16% 1.16% 1 TER including the performance fee. 161
Additional Unaudited Appendix TER (Total Expense Ratio) (continued) The TER of the Sub-Fund, excluding the performance fee if applicable, for classes HI (SEK) to S, is defined as follows: Accumulating HI HI HS I Vontobel Fund - (SEK) () (CHF) I (GBP) N R S Swiss Money - - - - - - 0.25% - Euro Money - - - 0.31% - - 0.41% - US Dollar Money - - - - - - 0.40% - Swiss Franc Bond - - - 0.53% - - 0.50% - Euro Bond - - - 0.65% - - 0.51% - Corporate Bond Mid Yield - - - 0.74% - - 0.49% - High Yield Bond - - - 0.77% - - 0.47% - High Yield Bond 1 - - - 0.90% - - 0.52% - US Dollar Bond - - - 0.65% - - 0.59% - Eastern European Bond - - - 0.79% - - 0.53% - Absolute Return Bond (CHF) - - - 0.56% - - 0.52% 0.15% Absolute Return Bond (CHF) 1 - - - 0.56% - - 0.52% 0.15% Absolute Return Bond () - 0.66% - 0.67% - - 0.52% - Absolute Return Bond () 1-0.71% - 0.70% - - 0.61% - Global Convertible Bond - - - 0.76% - - 0.48% - Emerging s Bond - - - 0.82% - - 0.56% - Swiss Mid and Small Cap Equity - - - 1.20% - - 0.63% - European Mid and Small Cap Equity - - - 1.29% - - 0.65% - Japanese Equity - - - 1.01% - - 0.17% - China Stars Equity - - - 1.23% - - 0.70% - European Equity - - - 1.18% - - 0.64% - US Equity - - - 1.17% - 1.21% 0.64% - Global Equity - - - 1.18% 1.17% 1.15% 0.65% 0.21% Global Equity (ex-us) - - - 1.19% - - 0.66% - Emerging s Equity - - 0.32% 1.21% 1.21% 1.27% 0.69% 0.23% Far East Equity - - - 1.20% - 1.24% 0.67% - New Power - - - 1.27% - 1.30% 0.75% - Clean Technology - - - 1.30% - - 0.80% - Future Resources - - - 1.32% - 1.26% 0.77% - Sustainable Asia (ex Japan) Equity - - - 1.25% - - 0.75% - Sustainable Emerging s Leaders - - - 1.24% - - 0.70% - Sustainable Global Leaders - - - 1.21% - - 0.70% 0.27% Belvista Commodity 1.05% - 0.19% 1.04% - - 0.58% 0.19% Belvista Dynamic Commodity - - - 1.13% - - 0.61% - Belvista Dynamic Commodity 1 - - - 1.13% - - 0.61% - Target Return () - - - 1.08% - - 0.79% - Target Return () 1 - - - 1.32% - - 0.89% - Emerging s Debt - - - 0.80% - 0.86% 0.54% - Robusta - 1.20% - 1.13% - - 0.79% - Robusta Dynamic - 1.06% - 0.97% - - 0.60% - Pure Dividend Strategy - - - 1.06% - - 0.61% - Pure Momentum Strategy - - - 1.06% - - 0.61% - Pure Momentum Strategy 1 - - - 1.25% - - 0.88% - Pure Premium Strategy - - - 1.06% - - 0.59% - Pure Premium Strategy 1 - - - 1.06% - - 0.59% - 1 TER including the performance fee. 162
Additional Unaudited Appendix PTR (Portfolio Turnover Rate) In accordance with the guidelines of the Swiss Funds & Asset Management Association (SFAMA), the Fund must show a PTR (portfolio turnover rate) for the past 12-month period. This figure expresses the purchases and sales of securities (daily closure) carried out by the portfolio during the period in question as a percentage of the average net assets of the Sub-fund during this period. The PTR is defined as a ratio of portfolio turnover: Vontobel Fund PTR Swiss Money 28.29% Euro Money 81.59% US Dollar Money 72.68% Swiss Franc Bond 28.55% Euro Bond 59.28% Euro Corporate Bond Mid Yield 29.36% High Yield Bond 126.31% US Dollar Bond 3.08% Eastern European Bond 24.16% Absolute Return Bond (CHF) 103.30% Absolute Return Bond () 122.91% Global Convertible Bond 172.31% Emerging s Bond 49.35% Swiss Mid and Small Cap Equity -2.65% European Mid and Small Cap Equity 17.41% Japanese Equity 215.04% China Stars Equity 37.47% European Equity 40.93% US Equity 87.69% Global Equity 68.15% Global Equity (ex-us) 39.60% Emerging s Equity 20.61% Far East Equity 27.41% New Power 17.34% Clean Technology -12.00% Future Resources 58.20% Sustainable Asia (ex Japan) Equity 30.07% Sustainable Emerging s Leaders 63.43% Sustainable Global Leaders 143.74% Belvista Commodity 182.00% Belvista Dynamic Commodity 215.86% Target Return () 266.45% Emerging s Debt 151.55% Robusta 100.07% Robusta Dynamic 132.59% Pure Dividend Strategy -29.30% Pure Momentum Strategy 50.88% Pure Premium Strategy -19.78% This figure indicates the relevance of the incidental costs incurred by the Sub-fund when buying and selling investments. PTR = (Total 1 Total 2) Average net assets in AC* X 100 * AC = units in Sub-fund accounting currency Total 1 = Sum of securities transactions = X + Y Securities purchases in AC = X Securities sales in AC = Y Total 2 = Sum of transactions involving shares in Sub-Fund = S + T Issue of shares in AC = S Redemption of shares in AC = T 163
Additional Unaudited Appendix Performance Historical performance is not an indicator of current or future performance. Performance data do not take account of any commission and expenses charged on the issue and redemption of shares, or of possible safekeeping account management fees or withholding taxes. The Fund's return can rise or fall due to currency fluctuations. Investors should note that past performance is not necessarily indicative of the future performance of the various Sub-Funds. The performance figures, which we have not audited, have been calculated in accordance with the guidelines of the Swiss Funds & Asset Management Association (SFAMA) of May 16, 2008, as amended on June 6, 2008. Sub-Fund name/index name Share class Currency Launch date 31.08.2011-31.08.2012 31.08.2012-31.08.2013 31.08.2013-28.02.2014 Since launch Vontobel Fund - Swiss Money Citigroup CHF 3-Month Eurodeposit, (Ex Salomon Brothers CHF-MM Perf. Index) B CHF CHF 24.10.2000 0.39% 0.08% 0.65% -0.15% -0.07% -0.07% 15.15% 14.28% Vontobel Fund - Euro Money Citigroup 3-Month Eurodeposit, (Ex Salomon Brothers -MM Perf. Index) B 24.10.2000 1.90% 1.00% 0.21% 0.10% 0.27% 0.06% 32.31% 36.23% Vontobel Fund - US Dollar Money Citigroup 3-Month Eurodeposit, (Ex Salomon Brothers -MM Perf. Index) B 24.10.2000 0.36% 0.43% 0.48% 0.32% 0.55% 0.11% 28.14% 33.98% Vontobel Fund - Swiss Franc Bond SBI Foreign Rating AAA Total Return, (30.06.07: SBI Foreign TR) B CHF CHF 25.10.1991 4.37% 4.90% -0.06% -0.61% 1.06% 1.69% 132.90% 164.49% Vontobel Fund - Euro Bond J.P. Morgan EMU Bond Index TR B 25.10.1991 6.16% 6.75% 5.62% 4.43% 4.35% 4.86% 251.84% 322.06% Vontobel Fund Corporate Bond Mid Yield Merrill Lynch EMU Corporate A-BBB B 27.09.2002 10.32% 9.52% 6.98% 4.92% 5.18% 3.74% 53.24% 72.45% Vontobel Fund - High Yield Bond Customized Merrill Lynch High Yield BM, 50% and 50% Hedged B 11.06.2012 4.47%* 5.28%* 9.42% 8.45% 6.84% 7.13% 22.13% 22.32% Vontobel Fund - US Dollar Bond J.P. Morgan US Govt. Index TR B 25.10.1991 4.38% 5.27% -3.05% -3.66% 1.80% 1.78% 184.52% 271.50% Vontobel Fund - Eastern European Bond JP Morgan Global Bond Index Emerging Europe, (02.05.07=Merrill Lynch Emerging Eur. Gov. Index) B 05.09.1997 6.89% 10.34% -3.94% -1.47% -2.07% -2.17% 153.59% 114.88% Vontobel Fund - Absolute Return Bond (CHF) B CHF 01.07.2005 0.98% -0.28% 0.32% 6.77% Vontobel Fund - Absolute Return Bond () B 09.12.1999 1.89% 0.09% 0.72% 54.55% Vontobel Fund - Global Convertible Bond UBS Convertible Global Investment, Grade Hedged in B 14.04.2009 2.63% 5.11% 10.22% 12.91% 6.02% 8.74% 35.05% 61.36% Vontobel Fund Emerging s Bond JPM Government Bond Index Emeging s Global Diversified Composite B 25.01.2011-1.20% -1.01% -7.51% -5.38% 0.75% 1.88% -1.16% 4.37% Vontobel Fund - Swiss Mid and Small Cap Equity Swiss Performance Index Small & Mid-Cap TR B CHF CHF 12.06.2001 3.79% 6.53% 26.17% 23.26% 20.20% 17.08% 44.71% 99.43% Vontobel Fund - European Mid and Small Cap Equity MSCI Europe Small Cap Index TR net B 08.11.2000 7.65% 12.58% 20.08% 26.52% 19.04% 23.25% 68.08% 172.22% Vontobel Fund - Japanese Equity MSCI Japan Index TR net, (31.03.03 = TOPIX Total Return Index) B JPY JPY 21.11.1991-4.55% -3.23% 47.35% 55.61% 9.60% 10.26% -42.80% -8.99% Vontobel Fund - China Stars Equity MSCI China Index TR net B 02.02.2007-10.00% -8.25% 15.74% 14.07% 6.15% 4.62% 36.88% 43.37% * Performance since inception date of Sub-Fund. 164
Additional Unaudited Appendix Performance (continued) Sub-Fund name/index name Share class Currency Launch date 31.08.2011-31.08.2012 31.08.2012-31.08.2013 31.08.2013-28.02.2014 Since launch Vontobel Fund - European Equity MSCI Europe Index TR net B 16.12.2002 24.87% 15.87% 10.19% 14.07% 4.39% 13.88% 126.80% 114.62% Vontobel Fund - US Equity S&P 500 - TR B 21.11.1991 17.63% 18.00% 17.12% 18.70% 14.81% 15.07% 697.02% 669.29% Vontobel Fund - Global Equity MSCI World Index TR net B 01.07.2005 9.43% 6.22% 10.82% 15.48% 12.98% 13.57% 95.51% 66.24% Vontobel Fund - Global Equity (ex-us) MSCI EAFE Index TR net B 12.06.2001 6.22% -1.92% 6.23% 12.98% 8.48% 12.32% 136.51% 93.91% Vontobel Fund - Emerging s Equity MSCI Emerging TR net B 03.11.1992 4.16% -5.80% -5.38% 0.54% 3.66% 4.77% 546.33% 275.21% Vontobel Fund - Far East Equity MSCI All Country Asia Pacific Ex-Japan TR net, (30.09.09: MSCI All Country Far East Ex-JP TR net) B 25.02.1998-1.68% -1.67% -0.19% 7.11% 8.15% 7.50% 282.58% 199.85% Vontobel Fund - New Power MSCI World Index TR net B 12.12.2001 5.07% 23.50% 13.29% 12.45% 15.46% 9.47% 18.28% 41.28% Vontobel Fund - Clean Technology MSCI World Index TR net B 17.11.2008 12.65% 23.50% 12.48% 12.45% 18.27% 9.47% 107.96% 100.19% Vontobel Fund - Future Resources MSCI World Index TR net B 17.11.2008 11.08% 23.50% 3.23% 12.45% 7.07% 9.47% 93.52% 100.19% Vontobel Fund - Sustainable Asia (ex Japan) Equity MSCI AC Asia (ex Japan) net TR B 17.11.2008-8.46% -3.00% 12.80% 6.96% 9.75% 7.14% 117.55% 131.15% Vontobel Fund Sustainable Emerging s Leader MSCI Emerging s Free Net Index B 15.07.2011-7.32% -5.80% 1.96% 0.54% 7.43% 4.77% -4.98% -9.34% Vontobel Fund Sustainable Global Leaders MSCI World Index TR net B 14.12.2012 - - - - 18.72% 14.67% 26.28% 29.43% Vontobel Fund - Belvista Commodity Dow Jones - UBS Commodity Index TR, (31.07.08 GS Commodity Index 50%.DJ - AIG 50%) B 04.04.2007-11.62% -11.14% -12.73% -10.60% 1.82% 2.74% -11.76% -18.37% Vontobel Fund - Belvista Dynamic Commodity UBS Commodity Index TR B 02.05.2012 6.66%* 4.93%* -14.01% -10.60% 1.67% 2.74% -6.75% -3.63% Vontobel Fund - Target Return () B 25.05.2010 1.26% 0.50% 1.87% -0.78% Vontobel Fund Robusta 50% MSCI ACWI & 50% JPM GBI GT hedged B 02.09.2013 - - - - - - 1.93% 5.28% Vontobel Fund Robusta Dynamic 70% MSCI ACWI & 30% JPM GBI GT hedged B 02.09.2013 - - - - - - 1.66% 6.28% Vontobel Fund - Emerging s Debt JPMorgan EMBI Global Diversified B 15.05.2013 - - -9.36%* -8.98%* 6.40% 6.60% -3.56% -2.97% Vontobel Fund - Pure Dividend Strategy 3M Libor B 21.10.2013 - - - - - - 0.06% 0.08% Vontobel Fund - Pure Momentum Strategy 3M Libor B 21.10.2013 - - - - - - 0.43% 0.08% Vontobel Fund - Pure Premium Strategy 3M Libor B 09.12.2013 - - - - - - -0.87% 0.05% * Performance since inception date of Sub-Fund. 165
Where to find us Switzerland Zurich Vontobel Holding AG Gotthardstrasse 43 CH-8022 Zurich Telephone +41 (0)58 283 59 00 www.vontobel.com Bank Vontobel AG Gotthardstrasse 43 CH-8022 Zurich Telephone +41 (0)58 283 71 11 Vontobel Swiss Wealth Advisors AG Tödistrasse 17 CH-8022 Zurich Telephone +41 (0)44 287 81 11 Vontobel Fonds Services AG Gotthardstrasse 43 CH-8022 Zurich Telephone +41 (0)58 283 74 77 Vontobel Securities AG Gotthardstrasse 43 CH-8022 Zurich Telephone +41 (0)58 283 71 11 Harcourt Investment Consulting AG Gotthardstrasse 43 CH-8022 Zurich Telephone +41 (0)58 283 54 00 www.harcourt.ch Basle Bank Vontobel AG Basle Branch St. Alban-Anlage 58 CH-4052 Basle Telefon +41 (0)58 283 21 11 Berne Bank Vontobel AG Berne Branch Spitalgasse 40 CH-3011 Bern Telephone +41 (0)58 283 22 11 Geneva Banque Vontobel AG Geneva Branch Rue du Rhône 31 CH-1204 Geneva Telephone +41 (0)58 283 25 00 Vontobel Swiss Wealth Advisors SA Geneva Branch Rue du Rhône 31 CH-1204 Geneva Telephone +41 (0)22 809 81 51 Lucerne Bank Vontobel AG Lucerne Branch Schweizerhofquai 3a CH-6002 Lucerne Telephone +41 (0)58 283 27 11 Australia Sydney Vontobel Asset Management Australia Pty Ltd. Level 20, Tower 2, 201 Sussex St NSW-Sydney 2000 Telephone +61 (0)2 9006 1284 Austria Vienna Vontobel Asset Management S.A. Vienna Branch Kärntner Ring 5 7/7 A-1010 Vienna Telephone +43 (0)1 205 11 60 1280 China Hong Kong Vontobel Asset Management Asia Pacific Ltd. 3601 Two International Finance Centre 8 Finance Street, Central HK-Hong Kong Telephone +852 3655 3990 Vontobel Wealth Management (Hong Kong) Ltd. 3601 Two International Finance Centre 8 Finance Street, Central HK-Hong Kong Telephone +852 3655 3966 Germany Cologne Bank Vontobel Europe AG Cologne Branch Auf dem Berlich 1 D-50667 Cologne Telephone +49 (0)221 20 30 00 Frankfurt am Main Bank Vontobel Europe AG Frankfurt am Main Branch WestendDuo Bockenheimer Landstrasse 24 D-60323 Frankfurt am Main Telephone +49 (0)69 695 99 60 Vontobel Financial Products GmbH WestendDuo Bockenheimer Landstrasse 24 D-60323 Frankfurt am Main Telephone +49 (0)69 297 208 11 Hamburg Bank Vontobel Europe AG Hamburg Branch Sudanhaus Grosse Bäckerstrasse 13 D-20095 Hamburg Telephone +49 (0)40 638 587 0 Munich Bank Vontobel Europe AG Alter Hof 5 D-80331 Munich Telephone +49 (0)89 411 890 0 Great Britain London Vontobel Asset Management S.A. London Branch 3rd Floor, 22 Sackville Street GB-London W1S 3DN Telephone +44 207 255 83 00 Italy Milan Vontobel Europe S.A. Milan Branch Piazza degli Affari, 3 I-20123 Milan Telephone +39 02 6367 3411 Liechtenstein Vaduz Bank Vontobel (Liechtenstein) AG Pflugstrasse 20 FL-9490 Vaduz Telephone +423 236 41 11 Luxembourg Luxembourg Vontobel Asset Management S.A. 2 4, rue Jean l Aveugle L-1148 Luxembourg Telephone +352 26 34 74 1 Vontobel Management S.A. 2 4, rue Jean l Aveugle L-1148 Luxembourg Telephone +352 26 34 74 60 Singapore Singapore Vontobel Financial Products (Asia Pacific) Pte. Ltd. 8 Marina View, Asia Square Tower 1, Level 07 04 SGP-Singapore 018960 Telephone +65 6407 1170 Spain Madrid Vontobel Europe S.A. Madrid Branch Paseo de la Castellana, 95, Planta 18 E-28046 Madrid Telephone +34 91 520 95 95 Sweden Stockholm Vontobel Asset Management S.A. Stockholm Branch Norrlandsgatan 22, Box 7046 SE-103 86 Stockholm Telephone +46 8 611 0670 United Arab Emirates Dubai Vontobel Financial Products Ltd. Liberty House, Office 913, Dubai International Financial Centre P.O. Box 506814 Dubai, United Arab Emirates Telephone +971 (4) 703 85 00 USA Dallas Vontobel Swiss Wealth Advisors AG Inc. Dallas Branch 100 Crescent Court, 7th Floor Dallas, TX 75201, USA Telephone +1 214 459 3250 New York Vontobel Asset Management Inc. 1540 Broadway, 38th Floor New York, NY 10036, USA Telephone +1 212 415 70 00 www.vusa.com Vontobel Securities AG New York Branch 1540 Broadway, 38th Floor New York, NY 10036, USA Telephone +1 212 792 58 20 166