Recent News & Updates

Special Webinar Now Available: City National Rochdale Emerging Markets Fund Q3 2017 Update

posted 12/5/2017

The City National Rochdale Emerging Markets Fund recently hosted its webcast for the third quarter of 2017. Senior Portfolio Manager Anindya Chatterjee reviewed quarterly performance, strategy, and holdings, and discussed his market outlook for Emerging Asia.

Please click here to view the presentation in conjunction with the audio discussion. 

 Please click here to view the transcript and download the presentation.  

For the Emerging Markets Fund standard performance to most recent quarter-end, please 
click here 

An investor should consider carefully the fund's investment objectives, risks, charges and expenses. The Fund's summary and full prospectus contains this and other important information about the investment company, and it may be obtained by calling 800-245-9888. Please read it carefully before investing.

The investment Manager for the fund is City National Rochdale, a subsidiary of City National Bank. The fund is distributed by SEI Investments Distribution Co. (SIDCO), 1 Freedom Valley Drive, Oaks, PA 19456. SIDCO is not affiliated with City National Rochdale, City National Bank, or any of their affiliates.

The views expressed herein represent the opinions of City National Rochdale and are subject to change without notice at any time. This information should not in any way be construed to be investment, financial, tax, legal advice or other professional advice or service, and should not be relied on in making any investment or other decisions.

Investing involves risk including loss of principal. There can be no assurance that the Fund will achieve its stated objective. The Fund focuses their investments primarily in emerging Asian countries, including China and India. Investing in international markets carries additional risks such as currency fluctuation, regulatory risks, economic and political instability. Emerging markets involve heightened risks related to the same factors as well as increased volatility and lower trading volume. Securities focusing on a specific geographic region and narrowly focused investments may be subject to higher volatility. The Fund is not diversified.

City National Bank, as a matter of policy, does not give tax, accounting, regulatory or legal advice. The effectiveness of the strategies presented in this document will depend on the unique characteristics of your situation and on a number of complex factors. Rules in the areas of law, tax, and accounting are subject to change and open to varying interpretations. The strategies presented in this document were not intended to be used, and cannot be used for the purpose of avoiding any tax penalties that may be imposed. The strategies were not written to support the promotion or marketing to another person of any transaction or matter addressed. Before implementation, you should consult with your other advisors on the tax, accounting and legal implications of the proposed strategies based on your particular circumstances.

To access the Top 10 holdings and percentages of the fund, go to: 

The information presented does not involve the rendering of personalized investment, financial, legal, or tax advice. This presentation is not an offer to buy or sell, or a solicitation of any offer to buy or sell any of the securities mentioned herein.

Certain statements contained herein may constitute projections, forecasts and other forward looking statements, which do not reflect actual results and are based primarily upon a hypothetical set of assumptions applied to certain historical financial information. Certain information has been provided by third-party sources and, although believed to be reliable, it has not been independently verified and its accuracy or completeness cannot be guaranteed. Any opinions, projections, forecasts, and forward-looking statements presented herein are valid as on the date of this document and are subject to change. There is no assurance that forecasts or outlooks from this presentation will be accurate or take place as stated.

Alpha: a measure of performance on a risk-adjusted basis.


Forward P/E: Ratio of a current stock’s price over its estimated earnings per share (EPS).

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