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ODVYX

Developing Markets Fund

Special Notice

As of 4/12/13, the purchase and exchange of Fund shares is restricted, subject to certain exceptions. Please see the prospectus for further information.

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Overview

The Strategy typically invests in emerging and developing market stocks.

Inception Date
September 7, 2005
Investment Style
Developing Markets
Fund Index
MSCI Emerging Markets Index
CUSIP
683974505
NAV
  • A
(as of 08/17/2018)
$40.40
Total Assets
(as of 07/31/2018)
$39.55 BN
Gross Expense Ratio
(as of 07/31/2018)
1.07%
Net Expense Ratio
(as of 07/31/2018)
1.07%
Other Investment Options

For a suite of investment vehicles beyond mutual funds, please visit OFIglobal.com. OFI Global Asset Management™, an OppenheimerFunds company, delivers the firm’s investment expertise and solutions to institutional and high-net worth investors.

Performance
Average Annual Total Returns
Cumulative Returns
Calendar Year Returns
Capital Gains Distributions
as of 07/31/2018
  • B
as of 06/30/2018
  • B

Sales charges are not applicable to Y & I Share Classes.
Cumulative
Annualized
ytd as of 2018-06-30
  • C
1 yr 3 yr 5 yr 10 yr since inception
Developing Markets Fund (NAV)
-1.17% 12.46% 7.40% 5.86% 5.67% 9.17%
MSCI Emerging Markets Index
-6.66% 8.20% 5.60% 5.01% 2.26% -
Cumulative
Annualized
ytd as of 2018-07-31
  • C
1 yr 3 yr 5 yr 10 yr since inception
Developing Markets Fund (NAV)
-0.65% 7.17% 9.33% 5.25% 5.78% 9.15%
MSCI Emerging Markets Index
-4.61% 4.36% 8.94% 5.25% 2.87% -
Gross Expense Ratio: 1.07% | Net Expense Ratio: 1.07%

The performance data quoted represents past performance, which does not guarantee future results. The investment return and principal value of an investments in the Fund will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the originals cost. Current performance and expense ratios may be lower or higher than the data quoted. Fund returns include changes in share price and reinvested distributions. Class Y shares are not subject to a sales charge. Returns do not consider capital gains or income taxes on an individual's investment.


Year Developing Markets Fund MSCI Emerging Markets Index
2006 25.69% 32.17%
2007 34.30% 39.53%
2008 -47.84% -53.33%
2009 82.10% 78.51%
2010 27.39% 18.88%
2011 -17.85% -18.42%
2012 21.29% 18.22%
2013 8.68% -2.60%
2014 -4.55% -2.19%
2015 -13.84% -14.92%
2016 7.16% 11.19%
2017 35.10% 37.28%

The performance data quoted represents past performance, which does not guarantee future results. The investment return and principal value of an investments in the Fund will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the originals cost. Current performance and expense ratios may be lower or higher than the data quoted. Fund returns include changes in share price and reinvested distributions. Class Y shares are not subject to a sales charge. Returns do not consider capital gains or income taxes on an individual's investment.


Date Developing Markets Fund MSCI Emerging Markets Index MSCI EAFE MSCI World
7/31/2008 0.00 0.00 0.00 0.00
8/31/2008 -4.12 -7.99 -4.05 -1.40
9/30/2008 -18.02 -24.09 -17.93 -13.13
10/31/2008 -37.58 -44.86 -34.49 -29.60
11/30/2008 -44.05 -49.02 -38.03 -34.16
12/31/2008 -40.98 -45.04 -34.30 -32.05
1/31/2009 -44.96 -48.59 -40.75 -38.00
2/28/2009 -48.49 -51.49 -46.83 -44.35
3/31/2009 -41.20 -44.52 -43.46 -40.15
4/30/2009 -30.83 -35.28 -36.22 -33.43
5/31/2009 -18.43 -24.23 -28.67 -27.40
6/30/2009 -18.62 -25.25 -29.08 -27.73
7/31/2009 -10.06 -16.84 -22.60 -21.61
8/31/2009 -9.34 -17.14 -18.40 -18.38
9/30/2009 -1.64 -9.62 -15.27 -15.12
10/31/2009 -2.28 -9.51 -16.33 -16.63
11/30/2009 3.54 -5.62 -14.65 -13.23
12/31/2009 7.48 -1.89 -13.43 -11.67
1/31/2010 1.51 -7.36 -17.24 -15.32
2/28/2010 2.79 -7.04 -17.81 -14.13
3/31/2010 10.65 0.47 -12.68 -8.81
4/30/2010 12.05 1.69 -14.26 -8.79
5/31/2010 3.77 -7.26 -24.12 -17.53
6/30/2010 3.81 -7.94 -24.88 -20.36
7/31/2010 13.90 -0.27 -17.76 -13.90
8/31/2010 11.71 -2.21 -20.31 -17.12
9/30/2010 25.44 8.66 -12.50 -9.39
10/31/2010 29.90 11.81 -9.34 -6.01
11/30/2010 26.91 8.86 -13.70 -8.04
12/31/2010 36.92 16.63 -6.72 -1.28
1/31/2011 29.67 13.46 -4.51 0.95
2/28/2011 29.48 12.41 -1.37 4.49
3/31/2011 36.01 19.01 -3.58 3.46
4/30/2011 40.64 22.71 2.19 7.85
5/31/2011 36.92 19.49 -0.83 5.62
6/30/2011 35.17 17.65 -2.07 3.94
7/31/2011 33.35 17.13 -3.63 2.06
8/31/2011 24.70 6.66 -12.33 -5.13
9/30/2011 8.15 -8.89 -20.69 -13.33
10/31/2011 21.32 3.18 -13.04 -4.36
11/30/2011 16.72 -3.70 -17.26 -6.69
12/31/2011 12.48 -4.86 -18.04 -6.75
1/31/2012 22.65 5.93 -13.67 -2.07
2/29/2012 29.64 12.28 -8.72 2.72
3/31/2012 29.25 8.53 -9.14 4.04
4/30/2012 28.36 7.23 -10.92 2.86
5/31/2012 15.16 -4.79 -21.15 -6.02
6/30/2012 21.68 -1.12 -15.62 -1.23
7/31/2012 22.11 0.81 -14.66 0.04
8/31/2012 24.01 0.48 -12.37 2.57
9/30/2012 30.42 6.54 -9.78 5.39
10/31/2012 31.54 5.89 -9.03 4.68
11/30/2012 31.58 7.24 -6.83 6.02
12/31/2012 36.42 12.48 -3.85 8.01
1/31/2013 40.14 14.03 1.22 13.51
2/28/2013 37.68 12.60 0.26 13.70
3/31/2013 36.66 10.66 1.09 16.36
4/30/2013 38.34 11.49 6.35 20.03
5/31/2013 37.71 8.63 3.78 20.07
6/30/2013 31.26 1.72 0.10 17.12
7/31/2013 35.80 2.78 5.38 23.28
8/31/2013 31.50 1.01 3.99 20.66
9/30/2013 42.99 7.58 11.67 26.69
10/31/2013 48.08 12.81 15.43 31.65
11/30/2013 46.98 11.16 16.31 33.99
12/31/2013 48.26 9.55 18.05 36.83
1/31/2014 36.62 2.44 13.30 31.76
2/28/2014 42.97 5.83 19.60 38.35
3/31/2014 45.70 9.08 18.84 38.55
4/30/2014 45.86 9.44 20.55 39.97
5/31/2014 52.01 13.27 22.51 42.73
6/30/2014 57.19 16.27 23.69 45.28
7/31/2014 56.67 18.52 21.27 42.96
8/31/2014 61.37 21.19 21.08 46.11
9/30/2014 51.66 12.21 16.42 42.15
10/31/2014 54.42 13.53 14.73 43.07
11/30/2014 51.78 12.33 16.29 45.93
12/31/2014 41.51 7.16 12.27 43.58
1/31/2015 39.74 7.80 12.81 40.98
2/28/2015 42.77 11.14 19.56 49.24
3/31/2015 39.70 9.56 17.74 46.90
4/30/2015 45.63 17.98 22.55 50.35
5/31/2015 42.89 13.26 21.92 50.87
6/30/2015 40.83 10.32 18.47 47.36
7/31/2015 34.21 2.67 20.93 50.00
8/31/2015 19.96 -6.62 12.03 40.08
9/30/2015 16.49 -9.43 6.34 34.91
10/31/2015 27.14 -2.97 14.66 45.60
11/30/2015 24.60 -6.75 12.87 44.88
12/31/2015 21.93 -8.83 11.35 42.33
1/31/2016 14.85 -14.74 3.30 33.81
2/29/2016 13.47 -14.88 1.41 32.82
3/31/2016 25.67 -3.62 8.01 41.83
4/30/2016 25.34 -3.10 11.13 44.08
5/31/2016 24.37 -6.71 10.12 44.88
6/30/2016 26.56 -2.98 6.43 43.26
7/31/2016 30.79 1.90 11.82 49.31
8/31/2016 34.41 4.43 11.90 49.44
9/30/2016 37.70 5.77 13.27 50.23
10/31/2016 37.95 6.03 10.96 47.32
11/30/2016 30.99 1.15 8.75 49.44
12/31/2016 30.66 1.37 12.47 53.02
1/31/2017 37.16 6.92 15.73 56.71
2/28/2017 39.49 10.19 17.38 61.06
3/31/2017 45.09 12.97 20.61 62.78
4/30/2017 49.14 15.44 23.68 65.19
5/31/2017 53.39 18.86 28.22 68.68
6/30/2017 55.15 20.05 28.00 69.33
7/31/2017 63.65 27.21 31.69 73.38
8/31/2017 67.49 30.05 31.64 73.63
9/30/2017 67.98 29.53 34.91 77.52
10/31/2017 72.31 34.07 36.96 80.88
11/30/2017 71.45 34.34 38.40 84.80
12/31/2017 76.53 39.16 40.62 87.30
1/31/2018 90.88 50.76 47.67 97.18
2/28/2018 81.63 43.81 41.01 89.02
3/31/2018 81.79 41.14 38.47 84.90
4/30/2018 79.53 40.51 41.63 87.02
5/31/2018 79.00 35.53 38.45 88.19
6/30/2018 74.48 29.90 36.75 88.10
7/31/2018 75.38 32.75 40.12 93.98

The performance data quoted represents past performance, which does not guarantee future results. The investment return and principal value of an investments in the Fund will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the originals cost. Current performance and expense ratios may be lower or higher than the data quoted. Fund returns include changes in share price and reinvested distributions. Class Y shares are not subject to a sales charge. Returns do not consider capital gains or income taxes on an individual's investment.

$ per share as of 08/19/2018

Date 2013 2014 2015 2016 2017
Short Term
Long Term 0.1792 0.5977
Total Amount of Distribution 0.1792 0.5977
Record Date 12/5/13 12/4/14
Ex Div Date 12/6/13 12/5/14
Pay Date 12/9/13 12/5/14

There is no guarantee of the payment of any dividend or other distributions at any level.

Portfolio

Top Issuers

(55.1% of assets as of 07/31/2018)


Portfolio Holdings Breakdown

Country
Developed Markets
Emerging Markets
Equity Sector
Industry
Asset Allocation
Market Cap 6
Country Developing Markets Fund MSCI Emerging Markets Index Overweight / Underweight
China 22.5% 31.2% -8.6%
India 10.4% 9.0% 1.4%
South Korea 7.8% 14.1% -6.2%
Russia 6.4% 3.5% 2.9%
Hong Kong 5.9% 0.0% 5.9%
France 5.8% - -
Taiwan 5.7% 11.8% -6.2%
Brazil 5.3% 6.4% -1.2%
Mexico 4.9% 3.1% 1.8%
United Kingdom 4.0% 0.2% 3.8%
Philippines 3.6% 1.0% 2.6%
South Africa 2.6% 6.6% -3.9%
United States 2.1% - -
United Arab Emirates 1.7% 0.7% 1.1%
Peru 1.2% 0.4% 0.8%
Singapore 1.0% - -
Indonesia 0.7% 1.9% -1.2%
Colombia 0.7% 0.5% 0.2%
Turkey 0.6% 0.7% 0.0%
Malaysia 0.5% 2.4% -1.9%
Developed Markets Developing Markets Fund MSCI Emerging Markets Index Overweight / Underweight
Europe 10.1% 0.2% 9.9%
Asia Pacific 6.9% 0.0% 6.9%
Americas 2.1% - -
Emerging Markets Developing Markets Fund MSCI Emerging Markets Index Overweight / Underweight
Asia Pacific 51.3% 73.8% -22.5%
Americas 12.2% 11.6% 0.6%
Europe 7.1% 6.2% 0.9%
Africa 3.1% 6.7% -3.6%
Middle East 1.7% 1.6% 0.2%
Equity Sector Developing Markets Fund MSCI Emerging Markets Index Overweight / Underweight
Information Technology 24.5% 27.3% -2.8%
Financials 19.6% 23.4% -3.7%
Consumer Discretionary 15.8% 9.4% 6.4%
Consumer Staples 9.2% 6.7% 2.5%
Materials 6.9% 7.8% -0.9%
Health Care 6.6% 2.9% 3.6%
Industrials 5.5% 5.3% 0.3%
Energy 4.3% 7.5% -3.1%
Real Estate 1.9% 2.9% -1.0%
Industry Developing Markets Fund MSCI Emerging Markets Index Overweight / Underweight
Internet Software & Services 14.5% 11.6% 2.9%
Banks 8.0% 16.1% -8.1%
Textiles Apparel & Luxury Goods 7.0% 0.6% 6.3%
Semiconductors & Semiconductor Equipment 5.7% 5.6% 0.1%
Metals & Mining 5.7% 3.5% 2.2%
Oil Gas & Consumable Fuels 4.3% 7.4% -3.0%
Beverages 4.0% 1.3% 2.7%
Hotels Restaurants & Leisure 3.6% 0.7% 2.9%
Capital Markets 3.3% 1.2% 2.2%
Thrifts & Mortgage Finance 3.1% 1.0% 2.1%
Food & Staples Retailing 2.8% 1.8% 0.9%
Health Care Providers & Services 2.7% 0.5% 2.2%
Industrial Conglomerates 2.6% 1.5% 1.1%
Insurance 2.6% 3.6% -1.1%
Personal Products 2.3% 0.8% 1.5%
Diversified Financial Services 2.3% 1.2% 1.1%
Pharmaceuticals 2.0% 1.5% 0.5%
Real Estate Management & Development 1.9% 2.6% -0.6%
Internet & Direct Marketing Retail 1.9% 0.9% 1.0%
Technology Hardware Storage & Peripherals 1.9% 5.2% -3.3%
Asset Allocation Developing Markets Fund MSCI Emerging Markets Index Overweight / Underweight
Equity 94.5% 100.0% -5.5%
Net Cash and Equivalents 5.5% - -
Market Cap Developing Markets Fund MSCI Emerging Markets Index Overweight / Underweight
Large 85.9% 89.4% -3.5%
Mid 6.4% 9.7% -3.3%
Small 0.5% 0.9% -0.4%
Analytics
(As of 07/31/2018)

Morningstar 07/31/2018 (based on risk adjusted performance)
Overall Rating
Number of Funds
693
Category
Diversified Emerging Mkts
Analyst Rating (as of 9/26/17)
Silver
Performance Statistics
3Y
5Y
Alpha
1.23
0.51
Beta
0.89
0.89
Information Ratio
0.08
0.00
R-Squared
90.75
88.40
Sharpe Ratio
0.64
0.40
Standard Deviation
14.38
14.14
Upside Capture
88.92
88.63
Downside Capture
81.54
85.82
Sortino Ratio
0.31
0.18
Win Ratio
44.00
47.00
Loss Ratio
56.00
53.00
Tracking Error
4.71
5.06
Dividends
  • D
Est. Frequency
Annual
Last Pay Date
12/4/2017
Per Share ($)
$0.2451
12-Month Distribution ($)
$0.2451
Portfolio Characteristics
Fund
Fund Index
Average Market Cap (weighted)
$100.82 B
$84.08 B
Median Market Cap (weighted)
$36.39 B
$21.90 B
P/E Ratio (LTM)
23.33
15.35
P/E Ratio (NTM)
18.46
12.46
Price/Book
3.09
1.98
Return on Equity
17.86%
17.57%
Turnover Ratio
33%
-
Active Share
78.06%
-
Distribution Sources
  • D
Net Income
87.20%
Net Profit from Sale
0.00%
Other Capital Sources
12.80%
Documents
  1. 1. As of 4/12/13, the purchase and exchange of Fund shares is restricted, subject to certain exceptions. Please see the prospectus for further information.
  2. 2. Special Risks: Foreign investments may be volatile and involve additional expenses and special risks, including currency fluctuations, foreign taxes, regulatory and geopolitical risks. Emerging and developing market investments may be especially volatile. Eurozone investments may be subject to volatility and liquidity issues. Investments in securities of growth companies may be volatile. Mid-sized company stock is typically more volatile than that of larger company stock. It may take a substantial period of time to realize a gain on an investment in a mid-sized company, if any gain is realized at all. Investing significantly in a particular region, industry, sector or issuer may increase volatility and risk.
  3. 3. The net expense ratio (where applicable) also takes into account contractual fee waivers and/or expense reimbursements without which performance would have been less. These undertakings may not be amended or withdrawn for one year from the date of the current prospectus, unless approved by the Board.
  4. 4. Access index definitions.
  5. 5. Holdings are subject to change, and are dollar weighted based on total net assets. Negative weightings may result from the use of leverage. Leverage involves the use of various financial instruments or borrowed capital in an attempt to increase investment return. Leverage risks include potential for higher volatility, greater decline of the fund's net asset value and fluctuations of dividends and distributions paid by the fund.
  6. 6. Holdings are subject to change, are dollar-weighted based on assets, and may not reflect the use of leverage in the Fund. Market Cap breakdown is calculated using Morningstar's methodology and those capitalization standards may not align with those in the Fund’s prospectus.
  7. 7. The Morningstar Analyst Rating is not a credit or risk rating but a subjective evaluation performed by the analysts of Morningstar, Inc. (Mstar). Mstar evaluates funds based on five key pillars (process, performance, people, parent and price). Mstar's analysts use this evaluation to identify funds they believe are more likely to outperform over the long term on a risk-adjusted basis. Analysts consider quantitative and qualitative factors and the weightings of each pillar may vary. The Analyst Rating reflects overall assessment and is overseen by Morningstar's Analyst Rating Committee. The analyst rating scale is five-tiered, with three positive ratings (Gold, Silver, Bronze), a Neutral rating and a Negative rating, with Gold being the highest rating and Negative being the lowest rating. The Mstar Analyst Ratings should not be used as the sole basis in evaluating a mutual fund and are based on Mstar's current expectations about future events. Mstar does not represent ratings as a guarantee. Analyst Ratings involve unknown risks and uncertainties which may cause Mstar's expectations not to occur or to differ significantly.
  8. A. Daily net asset value and dollar change of the fund is as of the previous business day's closing. Fund net asset values are updated at approximately 7:00pm ET daily.
  9. B. The performance data quoted represents past performance, which does not guarantee future results. The investment return and principal value of an investments in the Fund will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the originals cost. Current performance and expense ratios may be lower or higher than the data quoted. Fund returns include changes in share price and reinvested distributions. Class Y shares are not subject to a sales charge. Returns do not consider capital gains or income taxes on an individual's investment.
  10. C. "Year to Date" returns are cumulative, not annualized, and do not reflect sales charges (if sales charges are applicable to the Fund). These returns would be lower if sales charges were taken into consideration. Short-term returns may not be indicative of longer-term performance, which should also be considered when making investment decisions.
  11. D. There is no guarantee of the payment of any dividend or other distributions at any level.
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