GQG Partners Global Equity Fund
About this Fund
Fund Detail
PDS | https://informedinvestor.com.au/view/pds/101494-2024-02-04-02:28.pdf |
FUND MANAGER | GQG Partners LLC |
ASX Code | |
APIR | ETL7377AU |
ASSET CLASS | GLOBAL EQUITIES |
INVESTMENT STYLE | The Fund invests directly or indirectly in equity securities and equity-linked securities anywhere in the world that GQG Partners believes can sustain long-term earnings growth and are available at a reasonable price. |
INVESTMENT PROFILE | The Fund seeks to provide a rate of return (after fees and expenses and before taxes) which exceeds the return of the Benchmark. |
CURRENCY MANAGEMENT | Active management |
INCEPTION DATE | 04-06-2017 |
BENCHMARK | MSCI ACWI ex Tobacco (AUD) |
FUND SIZE | MSCI ACWI ex Tobacco (AUD) |
DISTRIBUTION FREQUENCY | Yearly |
NO. OF HOLDINGS | 35-80 |
FEES | 0.75% p.a. of the NAV of the Class |
STRUCTURE |
Benefits
Benefits | Benefits of investing in the GQG Partners Global Equity FundThe Fund aims to seek long term capital appreciation by investing in equity securities or equity-linked instruments of companies located anywhere in the world. An investment in the Fund has certain benefits including:
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RISK LEVEL | 6 |
INVESTOR SUITABILITY | The Fund may suit investors with a minimum investment horizon of atleast five years, whose investment objective is to achieve capitalappreciation |
Risks
Title | |
Detail |
Key Features
About the FundThe GQG Partners Global Equity Fund aims to seek long-term capital appreciation by investing directly or indirectly in equity securities and equity-linked securities anywhere in the world that GQG Partners believes can sustain long-term earnings growth and are available at a reasonable price. The objective of the Fund is to provide a rate of return (after fees and expenses and before taxes) which exceeds the return of the MSCI ACWI ex Tobacco (AUD). The Global Equity strategy seeks to invest in high-quality companies with attractively priced future growth prospects. We focus primarily on equity and equity-based securities of both developed and emerging markets. GQG Partners' fundamental investment process evaluates each business based on financial strength, sustainability of earnings growth, and quality of management. The resulting portfolio seeks to mitigate downside risk while providing attractive returns to long-term investors over a full market cycle. About GQG PartnersGQG Partners is a boutique investment management firm focused on global and emerging markets equities. We seek to help our clients secure their financial future, and we endeavour to create a business that is deeply aligned with our clients' financial interests. Headquartered in Fort Lauderdale, Florida with more than A$43 billion in FUM/FUA, we strive for excellence at all levels of our organisation through a commitment to independent thinking, continual growth, cultural integrity and a deep knowledge of the markets. |
Mandate
How we invest your moneyThe Fund may invest in equity securities or equity-linked instruments of companies located anywhere in the world, including, but not limited to, emerging markets countries, frontier markets and the United States. This Fund has no limitation on the capitalization size of the companies in which it invests nor on its ability to invest in foreign securities. It may invest in any country. Frontier markets are not expected to be a meaningful percentage of the Fund. The Fund employs a long-term focus when analysing companies and constructing a portfolio. GQG Partners seeks to identify companies with a strong financial position, capable management, and promising growth opportunities, which GQG Partners believes are most likely to enjoy sustained earnings growth over time. Once fully invested, it is anticipated that this Fund will typically hold between 35 and 80 investments. Generally, once this Fund is fully invested, no single portfolio holding is anticipated to exceed 7% of the portfolio value. Strategic asset allocation
For more information, refer pages 4-5 of the product PDS. |