0000930413-12-001329.txt : 20120305
0000930413-12-001329.hdr.sgml : 20120305
20120305142400
ACCESSION NUMBER: 0000930413-12-001329
CONFORMED SUBMISSION TYPE: 485BPOS
PUBLIC DOCUMENT COUNT: 8
FILED AS OF DATE: 20120305
DATE AS OF CHANGE: 20120305
EFFECTIVENESS DATE: 20120305
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: FIRST EAGLE FUNDS
CENTRAL INDEX KEY: 0000906352
IRS NUMBER: 000000000
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1031
FILING VALUES:
FORM TYPE: 485BPOS
SEC ACT: 1933 Act
SEC FILE NUMBER: 033-63560
FILM NUMBER: 12666014
BUSINESS ADDRESS:
STREET 1: 1345 AVENUE OF THE AMERICAS
CITY: NEW YORK
STATE: NY
ZIP: 10105
BUSINESS PHONE: 212-698-3393
MAIL ADDRESS:
STREET 1: 1345 AVENUE OF THE AMERICAS
CITY: NEW YORK
STATE: NY
ZIP: 10105
FORMER COMPANY:
FORMER CONFORMED NAME: FIRST EAGLE FUNDS INC
DATE OF NAME CHANGE: 20030103
FORMER COMPANY:
FORMER CONFORMED NAME: FIRST EAGLE SOGEN FUNDS INC
DATE OF NAME CHANGE: 20000403
FORMER COMPANY:
FORMER CONFORMED NAME: SOGEN FUNDS INC
DATE OF NAME CHANGE: 19930714
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: FIRST EAGLE FUNDS
CENTRAL INDEX KEY: 0000906352
IRS NUMBER: 000000000
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1031
FILING VALUES:
FORM TYPE: 485BPOS
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-07762
FILM NUMBER: 12666015
BUSINESS ADDRESS:
STREET 1: 1345 AVENUE OF THE AMERICAS
CITY: NEW YORK
STATE: NY
ZIP: 10105
BUSINESS PHONE: 212-698-3393
MAIL ADDRESS:
STREET 1: 1345 AVENUE OF THE AMERICAS
CITY: NEW YORK
STATE: NY
ZIP: 10105
FORMER COMPANY:
FORMER CONFORMED NAME: FIRST EAGLE FUNDS INC
DATE OF NAME CHANGE: 20030103
FORMER COMPANY:
FORMER CONFORMED NAME: FIRST EAGLE SOGEN FUNDS INC
DATE OF NAME CHANGE: 20000403
FORMER COMPANY:
FORMER CONFORMED NAME: SOGEN FUNDS INC
DATE OF NAME CHANGE: 19930714
0000906352
S000035750
First Eagle Global Income Builder Fund
C000109583
Class A
FEBAX
C000109584
Class C
FEBCX
C000109585
Class I
FEBIX
485BPOS
1
c67353_485bpos.htm
Untitled Document
As
filed with the Securities and Exchange Commission on March 5, 2012
REGISTRATION NO. 033-63560 and
811-7762
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON,
D.C. 20549
FORM N-1A
REGISTRATION STATEMENT
UNDER
THE
SECURITIES ACT OF 1933 x
PRE-EFFECTIVE
AMENDMENT NO. o
POST-EFFECTIVE
AMENDMENT NO. 46 x
AND/OR
REGISTRATION
STATEMENT
UNDER
THE
INVESTMENT COMPANY ACT OF 1940 x
AMENDMENT
NO. 48 x
(CHECK APPROPRIATE BOX OR
BOXES)
FIRST EAGLE FUNDS
(EXACT NAME OF REGISTRANT AS
SPECIFIED IN CHARTER)
1345
AVENUE OF THE AMERICAS
NEW YORK,
NY 10105
(ADDRESS OF PRINCIPAL EXECUTIVE
OFFICES)
REGISTRANTS TELEPHONE NUMBER,
INCLUDING AREA CODE: (212) 698-3000
SUZAN
AFIFI
FIRST
EAGLE FUNDS
1345
AVENUE OF THE AMERICAS
NEW YORK,
NY 10105
(NAME AND ADDRESS OF AGENT FOR
SERVICE)
COPY TO:
NATHAN J.
GREENE, ESQ.
SHEARMAN &
STERLING LLP
599
LEXINGTON AVENUE
NEW YORK,
NY 10022
It is proposed that this filing will become effective (check
appropriate box):
x
immediately upon filing pursuant to paragraph (b)
o on March 1, 2011 pursuant
to paragraph (b) of Rule 485
o
60 days after filing pursuant to paragraph (a)(1)
o on March 1, 2011 pursuant
to paragraph (a)(1) of Rule 485
o
75 days after filing pursuant to paragraph (a)(2)
o
on (date) pursuant to paragraph (a)(2) of Rule 485
If appropriate, check the following box:
o
this post-effective amendment designates a new effective date for a previously
filed post-effective amendment
SIGNATURES
Pursuant
to the requirements of the Securities Act of 1933 and the Investment Company
Act of 1940, the Registrant certifies that it meets all of the requirements
for the effectiveness of this Registration Statement pursuant to Rule 485(a) or
Rule 485(b) (as the case may be) under the Securities Act of 1933 and the
Registration has duly caused this Post-Effective Amendment to its Registration
Statement to be signed on its behalf by the undersigned, thereunto duly
authorized, in the City of New York and State of New York, as of the 5th day
of March, 2012.
FIRST EAGLE
FUNDS
By:
/s/ JOHN P. ARNHOLD
JOHN P.
ARNHOLD
PRESIDENT
Pursuant to the requirements of the Securities Act of 1933, this
Post-Effective Amendment to the Registration Statement has been signed below by
the following persons in the capacities and on the dates indicated.
SIGNATURE
CAPACITY
DATE
/s/ LISA ANDERSON*
Trustee
March 5, 2012
(LISA
ANDERSON)
/s/ JOHN P. ARNHOLD*
Trustee
March 5, 2012
(JOHN P.
ARNHOLD)
/s/ JEAN-MARIE EVEILLARD*
Trustee
March 5, 2012
(JEAN-MARIE
EVEILLARD)
/s/ CANDACE K. BEINECKE*
Trustee
March 5, 2012
(CANDACE K.
BEINECKE)
/s/ JEAN D. HAMILTON*
Trustee
March 5, 2012
(JEAN D.
HAMILTON)
/s/ JAMES E. JORDAN*
Trustee
March 5, 2012
(JAMES E.
JORDAN)
/s/ WILLIAM M. KELLY*
Trustee
March 5, 2012
(WILLIAM M.
KELLY)
/s/ PAUL J. LAWLER*
Trustee
March 5, 2012
(PAUL J.
LAWLER)
/s/ JOSEPH
MALONE*
Chief Financial Officer
March 5, 2012
(JOSEPH
MALONE)
*By:
/s/ ROBERT BRUNO
ROBERT BRUNO
POWER-OF-ATTORNEY
EXHIBIT INDEX
Exhibit No.
Description
EX-101.INS
XBRL
Instance Document
EX-101.SCH
XBRL
Taxonomy Extension Schema Document
EX-101.DEF
XBRL
Taxonomy Extension Definition Linkbase
EX-101.LAB
XBRL
Taxonomy Extension Labels Linkbase
EX-101.PRE
XBRL
Taxonomy Extension Presentation Linkbase
EX-101.INS
3
cik0000906352-20120224.xml
XBRL INSTANCE FILE
00009063522012-02-242012-02-240000906352cik0000906352:S000035750Member2012-02-242012-02-240000906352cik0000906352:S000035750Membercik0000906352:C000109583Member2012-02-242012-02-240000906352cik0000906352:S000035750Membercik0000906352:C000109584Member2012-02-242012-02-240000906352cik0000906352:S000035750Membercik0000906352:C000109585Member2012-02-242012-02-24xbrli:pureiso4217:USDFIRST EAGLE FUNDS485BPOSfalse00009063522012-02-242012-02-242012-03-012012-03-01RISK/RETURNInvestment Objective<p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">First Eagle Global Income Builder Fund (“Global Income Builder Fund”) seeks current income generation and long-term growth of capital.</font> </p>Fees and Expenses<p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">The following information describes the fees and expenses you may pay if you buy and hold shares of the Fund.</font> </p> <br/><p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">You may qualify for sales charge discounts if you, together with certain related accounts, invest, or agree to invest in the future, at least $25,000 in the Fund. Information about these and other discounts is available from your financial professional and in the <i>How to Purchase Shares</i> and <i>Public Offering Price of Class A Shares</i> sections on pages 22 and 27, respectively.</font> </p> <br/><p> <font style="font-size:3.8mm;">The percentages shown are based on anticipated expenses for the Fund’s first fiscal year. However, the rate at which expenses are accrued during the fiscal year may not be constant and, at any particular point, may be greater or less than the stated average percentage. The Adviser has contractually agreed to waive its management fee and/or reimburse expenses, as allowed by law, so that the total annual operating expenses (excluding certain items) of Class A shares do not exceed 1.30%, Class C shares do not exceed 2.05% and Class I shares do not exceed 1.05% until December 31, 2012 (the “Fee Waiver and Expense Reimbursement Agreement”).</font> </p>0.05000.00000.00000.00000.01000.00000.00750.00750.00750.00250.01000.00000.00620.00620.00620.01620.02370.0137-0.0032-0.0032-0.00320.01300.02050.0105~ http://xbrl.sec.gov/rr/role/ShareholderFeesData column dei_LegalEntityAxis compact cik0000906352_S000035750Member column rr_ProspectusShareClassAxis compact * row primary compact * ~~ http://xbrl.sec.gov/rr/role/OperatingExpensesData column dei_LegalEntityAxis compact cik0000906352_S000035750Member column rr_ProspectusShareClassAxis compact * row primary compact * ~2012-12-31You may qualify for sales charge discounts if you, together with certain related accounts, invest, or agree to invest in the future, at least $25,000 in the Fund. Annual Fund Operating Expenses (expenses you pay each year as a percentage of the value of your investment)The percentages shown are based on anticipated expenses for the Fund's first fiscal year.The percentages shown are based on anticipated expenses for the Fund's first fiscal year.25000Shareholder Fees (fees paid directly from your investment)Example<p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">This example is intended to help you compare the cost of investing in the Fund with the cost of investing in other mutual funds.</font> </p>626626956956308709208709107107402402~ http://xbrl.sec.gov/rr/role/ExpenseExample column dei_LegalEntityAxis compact cik0000906352_S000035750Member column rr_ProspectusShareClassAxis compact * row primary compact * ~~ http://xbrl.sec.gov/rr/role/ExpenseExampleNoRedemption column dei_LegalEntityAxis compact cik0000906352_S000035750Member column rr_ProspectusShareClassAxis compact * row primary compact * ~This hypothetical example assumes you invest $10,000 in the Fund for the time periods indicated and then either redeem or do not redeem all shares at the end of those periods. The example also assumes the average annual return is 5% and operating expenses remain the same and takes into account the effect of the Fee Waiver and Expense Reimbursement Agreement through December 31, 2012, as discussed directly above. Please keep in mind your actual costs may be higher or lower.Portfolio Turnover Rate<p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">The Fund pays transaction costs, such as commissions, when it buys and sells securities (or “turns over” its portfolio). A higher portfolio turnover rate may indicate higher transaction costs and may result in higher taxes when Fund shares are held in a taxable account. These costs, which are not reflected in annual fund operating expenses or in the Example, affect the Fund’s performance. No portfolio turnover data is available for the Fund because it has not yet been in operation for a full calendar year.</font> </p>Principal Investment Strategies<p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">To achieve its objective of current income generation and long-term growth of capital, the Global Income Builder Fund will normally invest its assets primarily in common stocks of U.S. and foreign companies that offer attractive dividend yields and a range of fixed income instruments, including high-yield, below investment grade (commonly referred to as “junk bonds”), investment grade and sovereign debt, from markets in the United States and multiple countries around the world.</font> </p> <br/><p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">Investment decisions for the Global Income Builder Fund are made without regard to the capitalization (size) of the companies in which it invests. The Global Income Builder Fund may invest in any size company, including large, medium and smaller companies. Under normal circumstances, the Global Income Builder Fund anticipates it will allocate a substantial amount of its total assets to income-producing securities. That generally means that approximately 80% or more of the Global Income Builder Fund’s total assets will be allocated to such investments, which may include dividend paying equities, both high-yield (below investment grade) and investment grade debt, sovereign bonds, and various short-term debt instruments. The Fund may invest in securities with any investment rating, as well as unrated securities. The Fund may also invest (typically for hedging purposes) in derivative instruments such as options, futures contracts and options on futures contracts, credit default swaps, and swaps and options on indices.</font> </p> <br/><p> <font style="font-size:3.8mm;">The investment philosophy and strategy of the Global Income Builder Fund can be broadly characterized as a “value” approach, as it seeks a “margin of safety” in each investment purchase with the goal being to avoid permanent impairment of capital (as opposed to temporary losses in share value relating to shifting investor sentiment or other normal share price volatility). With respect to equity investments in particular, a discount to “intrinsic value” is sought even for what appear to be the best of businesses, with a deeper discount demanded for companies that we view as under business model, balance sheet, management or other stresses. “Intrinsic value” is based on our judgment of what a prudent and rational business buyer would pay in cash for all of the company in normal markets. Investments in debt instruments are made after careful scrutiny of the underlying creditworthiness of the issuer, taking into account such factors as cash flow generation, liquidation value and structural protections. The Global Income Builder Fund seeks to own debt instruments that offer an attractive “margin of safety” on principal repayment relative to the total expected return of the security. Although no change is anticipated, the investment objective of the Fund can be changed without shareholder approval. Shareholders will be notified a minimum of 60 days in advance of any change in investment objective or of any change in the “80% of assets” investment policies.</font> </p>Under normal circumstances, the Global Income Builder Fund anticipates it will allocate a substantial amount of its total assets to income-producing securities. That generally means that approximately 80% or more of the Global Income Builder Fund's total assets will be allocated to such investments, which may include dividend paying equities, both high-yield (below investment grade) and investment grade debt, sovereign bonds, and various short-term debt instruments.Principal Investment Risks<p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">As with any mutual fund investment, you may lose money by investing in the Fund. The likelihood of loss may be greater if you invest for a shorter period of time.</font> </p> <br/><p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">Principal risks of investing in the Fund, which could adversely affect its net asset value and total return, are:</font> </p> <br/><ul> <li> <p> <font style="font-size:3.8mm;"><b>Market Risk —</b> The value of the Fund’s portfolio holdings may fluctuate in response to events specific to the companies or markets in which the Fund invests, as well as economic, political, or social events in the United States or abroad.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Foreign Investment Risk —</b> The Fund will invest in foreign investments. Foreign investments can be susceptible to less politically and economically stable environments, foreign currency and exchange rate changes, and adverse changes to government regulations.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Credit Risk —</b> Credit risk is the risk that the issuer of a bond or other instrument will not be able to make payments of interest and principal when due. Changes in an issuer’s credit rating or the market’s perception of an issuer’s creditworthiness may also affect the value of the Fund’s investment in that issuer. The Fund intends to invest in debt instruments that are high-yield (below investment grade), i.e., junk bonds or levered loans, which are considered speculative, and carry a higher risk of default.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Interest Rate Risk —</b> Fluctuations in interest rates will affect the value of the Fund. An increase in interest rates tends to reduce the market value of debt securities, while a decline in interest rates tends to increase their values. Securities with longer durations tend to be more sensitive to interest rate changes than securities with shorter durations. Decreases in market interest rates may also result in prepayments of obligations the Fund acquires, requiring the Fund to reinvest at lower interest rates.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Changes in Debt Ratings —</b> If a rating agency gives a debt instrument a lower rating, the value of the instrument may decline because investors may demand a higher rate of return.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Convertible Security Risk —</b> Convertible securities generally offer lower interest or dividend yields than non-convertible securities of similar quality. Convertible securities may gain or lose value due to changes in the issuer’s operating results, financial condition and credit rating and changes in interest rates and other general economic, industry and market conditions.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>High Yield Risk —</b> The Fund intends to invest in high yield instruments (commonly known as “junk bonds”) which may be subject to greater levels of interest rate, credit (including issuer default) and liquidity risk than investment grade instruments and may experience extreme price fluctuations. The securities of such companies may be considered speculative and the ability of such companies to pay their debts on schedule may be uncertain.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Illiquid Investment Risk —</b> The market for lower-quality debt instruments, including junk bonds and levered loans, is generally less liquid than the market for higher-quality debt instruments. Holding illiquid securities restricts or otherwise limits the ability for the Fund to freely dispose of its investments for specific periods of time. The Fund might not be able to sell illiquid securities at its desired price or time.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>High Portfolio Turnover Risk —</b> The Fund’s investment strategies, which permits the Fund to hold instruments of any remaining duration and to trade those securities rather than hold them to maturity, may result in high turnover rates. This may increase the Fund’s brokerage commission costs, which would reduce performance. Rapid portfolio turnover also exposes shareholders to a higher current realization of short-term gains, which could cause you to pay higher taxes.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Derivatives Risk —</b> Futures contracts or other “derivatives,” including hedging strategies, present risks related to their significant price volatility and risk of default by the counterparty to the contract. It is intended that derivatives will be used mainly under a hedging program intended to reduce the impact of foreign exchange rate changes on the Fund’s value. The Fund may at times also purchase derivatives linked to relevant market indices as either a hedge or for investment purposes.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>New Fund Risk —</b> The Fund is new with no operating history and there can be no assurance that the Fund will grow or maintain an economically viable size, in which case the Board of Trustees of the Trust may determine to liquidate the Fund.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Small and Medium-Size Company Risk —</b> The Fund may invest in small and medium-size companies, the securities of which can be more volatile in price than those of larger companies.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Bank Loan Risk —</b> The Fund may invest in bank loans. These investments potentially expose the Fund to the credit risk of both the financial institution and the underlying borrower. The Fund’s ability to receive payments in connection with the loan depends primarily on the financial condition of the borrower. The market for bank loans may be illiquid and the Fund may have difficulty selling them. In addition, bank loans often have contractual restrictions on resale, which can delay the sale and adversely impact the sale price.</font> </p> </li> <li> <p> <font style="font-size:3.8mm;"><b>Real Estate Risk —</b> The Fund may invest in real estate investment trusts (“REITs”), which are subject to risks affecting real estate investments generally (including market conditions, competition, property obsolescence, changes in interest rates and casualty to real estate), as well as risks specifically affecting REITs (the quality and skill of REIT management and the internal expenses of the REIT).</font> </p> </li> </ul> <br/><p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">The Fund has the flexibility to respond promptly to changes in market and economic conditions. Under a defensive strategy, the Fund may temporarily hold some or all of its assets in cash and/or high quality debt securities or money market instruments of U.S. or foreign issuers.</font> </p>Principal Investment RisksAs with any mutual fund investment, you may lose money by investing in the Fund.Investment Results<p style="margin:2.1mm 0 0;"> <font style="font-size:3.8mm;">No performance information is available for the Fund because it has not yet been in operation for a full calendar year.</font> </p>No performance information is available for the Fund because it has not yet been in operation for a full calendar year. EX-101.SCH
4
cik0000906352-20120224.xsd
EX-101.DEF
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cik0000906352-20120224_def.xml
XBRL DEFINITION FILE
EX-101.LAB
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cik0000906352-20120224_lab.xml
XBRL LABEL FILE
EX-101.PRE
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cik0000906352-20120224_pre.xml
XBRL PRESENTATION FILE
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