2
Asset Class Returns 3,5 Asset Class Index 3-Month Return 12-Month Return Best / Worst Contributors for the Quarter U.S. Large-Cap Stocks S&P 500 Apple 15% Nvidia Corp Amgen 3% 46% 9% J P Morgan Chase Enphase Energy Trimble 33% Salesforce.Com Royal Gold Quidel 11% U.S. Mid-Cap Stocks S&P 400 112% 11% 37% 18% Cree 66% Exelis 18% U.S. Small-Cap Stocks Russell 2000 Plug Power 153% Sorrento Therapeucs 39% MyoKardia 65% Meritage Homes 25% 87% Sunrun 10% Developed Markets MSCI EAFE Ireland Belgium Emerging Markets MSCI Emerging Markets Hungary Chile Barclays Aggregate 9.07% 31.49% 7.06% 26.20% 9.94% 25.52% 8.17% 22.01% 11.84% 18.42% 0.18% 8.72% Corporate As of 12/31/2020 POPULAR TOTAL RETURN FUND 1 QUARTERLY REPORT 09/30/20 - 12/31/20 NAV Movement 4 03/27/2001 - 12/31/2020 5 2 open-end fund incorporated in Puerto Rico in 2001. E 11% Developed Markets Internaonal Stocks 1% Emerging Markets Internaonal Stocks Fixed Income 23% 50% 7% U.S. Large-Cap Stocks U.S. Mid-Cap Stocks U.S. Small-Cap Stocks 3% Cash & Equivalents 5% Returns 3 Fund performance as of 12/31/2020 3-Month 1-Year 3-Year Annualized 5-Year Annualized 10-Year Annualized Class A Shares (POPTRFA) 9.79% 11.24% 8.08% 9.61% 8.38% Class C Shares (POPTRFC) 9.61% 10.38% 7.28% 8.81% 7.54% Disney Walt Prodtns II-VI US Treasury Fixed Income December 31, 2020. 6 Max. Sales Charge 6 5.00% Expense Rao 6 Class A 1.10% Class C 1.85% Sales Charges 6 Class A Class C Maximum Sales Charge (Load) imposed on purchases sales 5.00% None Maximum Deferred Sales Charge None 1.00% 1% 19% 22% 1% 9% Class A Dividend Yield: Class C Dividend Yield: 0.89% 0.08% 1% 7.00 9.00 11.00 13.00 15.00 17.00 19.00 21.00 23.00 25.00 Mar-01 Jun-01 Sep-01 Dec-01 Mar-02 Jun-02 Sep-02 Dec-02 Mar-03 Jun-03 Sep-03 Dec-03 Mar-04 Jun-04 Sep-04 Dec-04 Mar-05 Jun-05 Sep-05 Dec-05 Mar-06 Jun-06 Sep-06 Dec-06 Mar-07 Jun-07 Sep-07 Dec-07 Mar-08 Jun-08 Sep-08 Dec-08 Mar-09 Jun-09 Sep-09 Dec-09 Mar-10 Jun-10 Sep-10 Dec-10 Mar-11 Jun-11 Sep-11 Dec-11 Mar-12 Jun-12 Sep-12 Dec-12 Mar-13 Jun-13 Sep-13 Dec-13 Mar-14 Jun-14 Sep-14 Dec-14 Mar-15 Jun-15 Sep-15 Dec-15 Mar-16 Jun-16 Sep-16 Dec-16 Mar-17 Jun-17 Sep-17 Dec-17 Mar-18 Jun-18 Sep-18 Dec-18 Mar-19 Jun-19 Sep-19 Dec-19 Mar-20 Jun-20 Sep-20 Dec-20

QUARTERLY REPORT 09/30/20 - 12/31/20 · 2021. 1. 28. · 9.07% 31.49% 7.06% 26.20% 9.94% 25.52% 8.17% 22.01% 11.84% 18.42% 0.18% 8.72% Corporate As of 12/31/2020 POPULAR TOTAL RETURN

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Page 1: QUARTERLY REPORT 09/30/20 - 12/31/20 · 2021. 1. 28. · 9.07% 31.49% 7.06% 26.20% 9.94% 25.52% 8.17% 22.01% 11.84% 18.42% 0.18% 8.72% Corporate As of 12/31/2020 POPULAR TOTAL RETURN

Asset Class Returns3,5

Asset Class Index3-Month

Return12-Month

Return Best / Worst Contributors for the Quarter

U.S. Large-Cap Stocks S&P 500

Apple ↑15% Nvidia Corp

Amgen

↓ 3%↑46% ↓ 9%

J P Morgan Chase

Enphase Energy

Trimble

↑33% Salesforce.Com

Royal Gold

Quidel

↓ 11%

U.S. Mid-Cap Stocks S&P 400

↑112% ↓ 11%↑37% ↓ 18%

Cree ↑66% Exelis ↓ 18%

U.S. Small-Cap Stocks Russell 2000

Plug Power ↑ 153% Sorrento Therapeutics ↓ 39%MyoKardia ↑65% Meritage Homes ↓ 25%

↑87% Sunrun ↓

10%

Developed MarketsMSCI EAFE Ireland Belgium

Emerging MarketsMSCI

Emerging Markets Hungary Chile

Barclays Aggregate

9.07% 31.49%

7.06% 26.20%

9.94% 25.52%

8.17% 22.01%

11.84% 18.42%

0.18% 8.72% Corporate

As of 12/31/2020

POPULAR TOTAL RETURN FUND1

QUARTERLY REPORT 09/30/20 - 12/31/20

NAV Movement4

03/27/2001 - 12/31/2020

5

2

open-end fund incorporated in Puerto Rico in 2001. E

11%Developed MarketsInternational Stocks

1%Emerging MarketsInternational Stocks

Fixed Income 23%

50%7%

U.S. Large-Cap StocksU.S. Mid-Cap Stocks

U.S. Small-Cap Stocks 3%Cash & Equivalents 5%

Returns3

Fund performance as of 12/31/2020

3-Month 1-Year 3-Year Annualized

5-Year Annualized

10-Year Annualized

Class A Shares (POPTRFA) 9.79% 11.24% 8.08% 9.61% 8.38%

Class C Shares (POPTRFC) 9.61% 10.38% 7.28% 8.81% 7.54%

Disney Walt Prodtns

II-VI

US TreasuryFixed Income

December 31, 2020.

6

Max. Sales Charge6 5.00%

Expense Ratio6 Class A 1.10%Class C 1.85%

Sales Charges6

Class A Class CMaximum Sales Charge (Load) imposed on purchases sales 5.00% None

Maximum Deferred Sales Charge None 1.00%

1%↑

↑19%

↑22%

↓ 1%

9%

Class A Dividend Yield:Class C Dividend Yield: 0.89% 0.08%

↓ 1%

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Page 2: QUARTERLY REPORT 09/30/20 - 12/31/20 · 2021. 1. 28. · 9.07% 31.49% 7.06% 26.20% 9.94% 25.52% 8.17% 22.01% 11.84% 18.42% 0.18% 8.72% Corporate As of 12/31/2020 POPULAR TOTAL RETURN

POPULAR TOTAL RETURN FUND1

Puerto Rico. An investment in the Funds entails certain fees, charges and expenses.

risk which is more fully described in the Fund’s Prospectus. The Fund is not registered as an investment company with the U Exchange Commission, and the U Exchange Commission. Please consult with your broker to determine whether an investment in

primarily for and is suitable for long-term investors.

4. The graph represents the overall NAV movement for all Fund Classes and does not necessarily correspond to the NAV movement of each individual Fund Class during the periods depicted in the graph. As of 12/31/2020, the NAV for Class A and C shares was U.S. $25.01, and U.S. $24.76, respectively.

6. Certain fees, charges and expenses may apply to an investment in the fund. There is no guarantee that actual expenses will be the same as those included and that various

THIS REPORT IS EXCLUSIVELY FOR SHAREHOLDERS AND NOT FOR PUBLIC DISTRIBUTION.

. . .

the Funds is suitable for your investment goals and objectives. Each of the Funds is an affiliate of Banco Popular de Puerto Rico, Popular Securities, and Popular, Inc. The brokerage products and services are offered by Popular Securities, a registered broker/dealer and member of FINRA and SIPC. Popular Securities is a subsidiary of Popular, Inc. and an affiliate of Banco Popular de Puerto Rico. Popular, Inc. and Banco Popular de Puerto Rico are not registered broker-dealers. Investment products are not insured by the FDIC, are not obligations of, or guaranteed by Banco Popular de Puerto Rico and involve risks, including possible loss of principal invested.