Strategy
Investment Approach
- Diversified portfolio investing in companies located throughout the globe.
- Emphasize attractively valued companies offering a range of defensive and recovery characteristics.
- Employ rigorous and comprehensive research to identify and assess investment opportunities.
- Allocate country and sector positions through consideration of:
- Attractiveness of individual investments
- Macroeconomic environment
Portfolio Construction
- Typically 80-100 stock portfolio
- Individual positions typically range from 0.30% to 3.00% — average position size of around 1.00%
- Country and sector weights generally range +/- 15% deviation from the benchmark
- Maximum of 10% in emerging markets
- Reserves range from 0% to 10%
Past performance is not a reliable indicator of future performance.
Risks
- Currency risk
- Small and mid-cap risk
- Capital risk
- Equity risk
- ESG and Sustainability risk
- Geographic concentration risk
- Hedging risk
- Investment portfolio risk
- Management risk
- Operational risk