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Global Equity

Our approach to global equity investing is a truly global one. With one of the most extensive and experienced buy-side global research platforms in the industry, our investment teams aim to seek out quality companies from the broadest possible opportunity set.

SICAV
Global Equity Dividend Fund
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A diversified portfolio of typically 60-70 companies that have the potential for above-average and sustainable rates of income as well as the potential for capital appreciation. The fund invests in a broad range of stocks across all sectors and capitalisations, in both developed and emerging markets. View More...
ISIN LU1697877865
Bloomberg TRPGEDI:LX
WKN A2JHT5
Valoren 41361831
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$13.31
Data as of: 04-Mar-2021
1YR Return
(Annualised)
12.56%
Data as of: 31-Jan-2021
Since
Inception
10.28%
Data as of: 31-Jan-2021
Fund Size
(USD)
$11.1m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.22%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
N/A
Data as of: 31-Jan-2021
Since
Inception
10.28%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  09-Apr-2018
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SICAV
Global Focused Growth Equity Fund
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A high conviction global equity fund for which we seek to identify companies on the right side of change. The portfolio typically consists of typically 60-80 stocks representing our most compelling bottom-up growth ideas, often derived from technological innovation and secular disruption. View More...
ISIN LU0143563046
Bloomberg TRPGEQI LX
WKN 541556
Valoren 1279114
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FUND PROFILE
COMMENTARY

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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$45.12
Data as of: 04-Mar-2021
1YR Return
(Annualised)
46.13%
Data as of: 31-Jan-2021
Since
Inception
10.18%
Data as of: 31-Jan-2021
Fund Size
(USD)
$4.5b
Data as of: 31-Jan-2021
Perf Change
(Daily)
-1.85%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
20.92%
Data as of: 31-Jan-2021
Since
Inception
10.18%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  12-Jan-2006
31-Jan-2021 - David J. Eiswert, Portfolio Manager,
We believe that we are in an unusual period for markets that is defined by extreme fundamentals. We are looking to ensure the portfolio is positioned correctly for when high-quality companies that were temporarily depressed by the pandemic will likely reaccelerate. The market is currently lacking in patience and seemingly unwilling to look ahead to the other side of the crisis. However, we are confident that vaccines will bring COVID-19 under control over coming quarters.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Global Growth Equity Fund
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A growth-oriented portfolio of typically 150-200 companies, seeking to harness the best ideas of our global research team. The fund offers broad exposure to the global equity universe, both developed and emerging markets, investing in around 30 countries. View More...
ISIN LU0382933116
Bloomberg TRGBLEI LX
WKN A0RB2L
Valoren 4775318
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FUND PROFILE
COMMENTARY

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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$71.74
Data as of: 04-Mar-2021
1YR Return
(Annualised)
41.90%
Data as of: 31-Jan-2021
Since
Inception
17.41%
Data as of: 31-Jan-2021
Fund Size
(USD)
$574.5m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-2.10%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
17.71%
Data as of: 31-Jan-2021
Since
Inception
17.41%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  27-Oct-2008
31-Jan-2021 - Scott Berg, Portfolio Manager,
We expect the “COVID-on”/”COVID-off” trade to continue to flip-flop back and forth as it did through the later stages of 2020. We believe secular growth stocks, at the right price, should continue to compound good returns, but the setup into midyear might imply a continuation of the rotation trade into value, small-caps, and non-U.S. stocks that began toward the end of last year. Selectivity is crucial in a world that remains defined by extreme outcomes.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Global Natural Resources Equity Fund
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A broadly diversified portfolio of around 90-120 stocks of natural resources or commodities-related companies. The universe includes companies that own or develop natural resources and other basic commodities and companies both upstream and downstream in the supply chain. View More...
ISIN LU0272423913
Bloomberg TRPGNRI LX
WKN A0MKKE
Valoren 2790339
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COMMENTARY

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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$13.19
Data as of: 04-Mar-2021
1YR Return
(Annualised)
4.26%
Data as of: 31-Jan-2021
Since
Inception
1.43%
Data as of: 31-Jan-2021
Fund Size
(USD)
$99.6m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.23%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
-2.68%
Data as of: 31-Jan-2021
Since
Inception
1.43%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  15-Nov-2006
31-Jan-2021 - Shawn T. Driscoll, Portfolio Manager,
We continue to believe that we are in a secular bear market for commodities. Global supplies of crude oil remain elevated despite a modest recovery in demand, and, while the recent reflation rally likely has more room to run, we expect energy stocks to be relative laggards going forward. Over the long term, we believe that oil prices are likely to settle in the mid-USD 40s per barrel range.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Global Real Estate Securities Fund
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A high conviction portfolio of typically between 40-80 real-estate securities diversified by property type and geography, including emerging markets. Investments may include real estate investment trusts (REITs), real estate operating companies (REOCs), and other real estate-related entities. View More...
ISIN LU0382932225
Bloomberg TRGRESI LX
WKN A0RB2J
Valoren 4775312
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COMMENTARY

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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$30.23
Data as of: 04-Mar-2021
1YR Return
(Annualised)
-6.17%
Data as of: 31-Jan-2021
Since
Inception
9.04%
Data as of: 31-Jan-2021
Fund Size
(USD)
$6.7m
Data as of: 31-Jan-2021
Perf Change
(Daily)
0.63%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
2.68%
Data as of: 31-Jan-2021
Since
Inception
9.04%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  27-Oct-2008
31-Jan-2021 - Nina Jones, Portfolio Manager,
We are optimistic about the upside potential for real estate stocks in the coming months. We expect that the rollout of coronavirus vaccines will result in increasing consumer confidence and an improving employment picture, which will support demand in many property types across commercial and residential real estate. In addition, construction starts have fallen, which could help lay the groundwork for a recovery in real estate fundamentals and cash flows.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Global Technology Equity Fund
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A global, all-cap fund that seeks to invest in companies that can benefit from innovation in technology. We invest in around 30-80 high conviction ideas seeking to identify secular growth themes and companies positioned on the right side of change. View More...
ISIN LU1244139827
Bloomberg TRGBTEI LX
WKN A14UXW
Valoren 28609344
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FUND PROFILE
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$36.01
Data as of: 04-Mar-2021
1YR Return
(Annualised)
66.68%
Data as of: 31-Jan-2021
Since
Inception
25.83%
Data as of: 31-Jan-2021
Fund Size
(USD)
$1.5b
Data as of: 31-Jan-2021
Perf Change
(Daily)
-4.71%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
24.34%
Data as of: 31-Jan-2021
Since
Inception
25.83%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  15-Jun-2015
31-Jan-2021 - Alan Tu, Portfolio Manager,
With valuations stretched in some areas, our experience has shown us that a bottom-up approach can help us identify companies that offer investment value versus those that represent extreme moves away from fundamental earnings growth. At the same time, we continue to be sensitive to valuation and strive to avoid companies with slowing fundamentals, even if some received a temporary boost from last year’s technology rally. Finally, we remain cautious of growing regulatory risks.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Global Value Equity Fund
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A conviction-based global portfolio of around 80-100 companies that we believe are attractively valued with prospects for improving earnings growth. We invest across the value spectrum, seeking to deliver positive excess returns regardless of which value substyle is currently favoured by the market. View More...
ISIN LU0859255472
Bloomberg TRPGVEI LX
WKN A1T64M
Valoren 20300968
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$23.68
Data as of: 04-Mar-2021
1YR Return
(Annualised)
12.54%
Data as of: 31-Jan-2021
Since
Inception
10.33%
Data as of: 31-Jan-2021
Fund Size
(USD)
$84.0m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.42%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
4.44%
Data as of: 31-Jan-2021
Since
Inception
10.33%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  28-Nov-2012
31-Jan-2021 - Sebastien Mallet, Portfolio Manager,
As we look towards a potential recovery period over the next 12-18 months, we believe valuation dispersions between growth and value stocks could provide a positive backdrop for value investing. We continue to find opportunities in well-run companies, particularly those with more cyclical characteristics and those which stand to emerge on the other side of the pandemic in positions of strength.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Science and Technology Equity Fund
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A portfolio of typically 50-70 companies that we believe can benefit from the development and use of science and/or technology. With a core diversified portfolio of technology stocks, we also invest opportunistically in health care, communication services, consumer discretionary, and industrials. View More...
ISIN LU1820537915
Bloomberg TRPSTEI:LX
WKN A2N5VR
Valoren 43652640
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$18.79
Data as of: 04-Mar-2021
1YR Return
(Annualised)
45.25%
Data as of: 31-Jan-2021
Since
Inception
29.20%
Data as of: 31-Jan-2021
Fund Size
(USD)
$13.5m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-2.34%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
N/A
Data as of: 31-Jan-2021
Since
Inception
29.20%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  07-Sep-2018
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SICAV III
T. Rowe Price Sustainable Global Focused Growth Equity Fund
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A high conviction global equity fund for which we seek to identify companies on the right side of change. The portfolio typically consists of typically 60-80 stocks representing our most compelling bottom-up growth ideas, often derived from technological innovation and secular disruption.

Companies that feature on our socially responsible exclusion list, which aligns with our clients’ most common ESG concerns, are not included in the fund.

View More...
ISIN LU2055195056
Bloomberg SEGGIUA:LX
WKN A2PY8M
Valoren 52188859
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$15.15
Data as of: 04-Mar-2021
1YR Return
(Annualised)
47.80%
Data as of: 31-Jan-2021
Since
Inception
43.13%
Data as of: 31-Jan-2021
Fund Size
(USD)
$146.9m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-1.94%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
N/A
Data as of: 31-Jan-2021
Since
Inception
43.13%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  22-Jan-2020
30-Apr-2020 - David J. Eiswert, Portfolio Manager,
Rising equity markets quickly closed many opportunities in April. We are now determining how to balance the portfolio with companies benefitting from the ongoing crisis, secular growers with short-term, pandemic-related headwinds that have recovered, and stocks that are severely affected by the pandemic and are out of favour. We think it has become much more important to have insights into product stories and industry changes, and this is where we are spending much of our time.
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30-06-2020|June 2020|30-Jun-2020
SICAV III
T. Rowe Price Sustainable Global Growth Equity Fund
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A growth-oriented portfolio of typically 150-200 companies, seeking to harness the best ideas of our global research team. The fund offers broad exposure to the global equity universe, both developed and emerging markets, investing in around 30 countries.

Companies that feature on our socially responsible exclusion list, which aligns with our clients’ most common ESG concerns, are not included in the fund.

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ISIN LU2098778991
Bloomberg SEGGEIU:LX
WKN A2PY8P
Valoren 52301232
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$14.02
Data as of: 04-Mar-2021
1YR Return
(Annualised)
N/A
Data as of: 31-Jan-2021
Since
Inception
N/A
Data as of: 31-Jan-2021
Fund Size
(USD)
$451.6m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-2.16%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
N/A
Data as of: 31-Jan-2021
Since
Inception
N/A
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  05-Feb-2020
30-Jun-2020 - Scott Berg, Portfolio Manager,
While we have benefitted from being on the right side of many changes playing out during this highly unusual period, we are not being complacent about the need to stay active and think through the risks of a rotation or setback in the market. Much more positive market action and sentiment is underpinning the current backdrop, but increased uncertainty has made us more cautious of late, and we are moving the portfolio back to a more balanced posture.
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30-06-2020|June 2020|30-Jun-2020

European Equity

There’s no such thing as a single market. The diverse nature of the European investment landscape calls for deep local knowledge and an exceptional breadth of experience – capabilities we have acquired over 30 years of investing across the region.

SICAV
Continental European Equity Fund
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A high-conviction, style-agnostic portfolio of around 40-70 mid-large European ex UK stocks. We seek to generate consistent outperformance for our clients with less risk by investing in higher-quality businesses with the potential to generate sustainable earnings across the market cycle. View More...
ISIN LU0285832068
Bloomberg TRPEXEI LX
WKN A0MNMY
Valoren 3253520
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COMMENTARY

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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(EUR)
€20.05
Data as of: 04-Mar-2021
1YR Return
(Annualised)
7.24%
Data as of: 31-Jan-2021
Since
Inception
5.05%
Data as of: 31-Jan-2021
Fund Size
(EUR)
€123.4m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.59%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
7.47%
Data as of: 31-Jan-2021
Since
Inception
5.05%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  26-Feb-2007
31-Jan-2021 - Tobias Mueller, Portfolio Manager,
The development of effective coronavirus vaccines offers the hope of a recovery from deep recession, beginning later this year. A recovery will to some extent depend on the path of the disease and the efficacy and distribution of any vaccines. In addition. the level of continuing policy support, the evolution of corporate and consumer confidence and the degree of disruption caused by newly agreed post-Brexit trading arrangements will determine the longer-term trajectory of activity.
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31-12-2020|December 2020|31-Dec-2020
SICAV
European Equity Fund
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A high-conviction, style-agnostic portfolio of typically 50-80 mid-large European stocks. We seek to generate consistent outperformance for our clients with less risk by investing in higher-quality businesses with the potential to generate sustainable earnings across the market cycle. View More...
ISIN LU0285831334
Bloomberg TRPEEQI LX
WKN A0MNMX
Valoren 3253501
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(EUR)
€18.42
Data as of: 04-Mar-2021
1YR Return
(Annualised)
3.55%
Data as of: 31-Jan-2021
Since
Inception
4.35%
Data as of: 31-Jan-2021
Fund Size
(EUR)
€102.5m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.49%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
6.16%
Data as of: 31-Jan-2021
Since
Inception
4.35%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  26-Feb-2007
31-Jan-2021 - Tobias Mueller, Portfolio Manager,
The development of effective coronavirus vaccines offers the hope of a recovery from deep recession, beginning later this year. A recovery will to some extent depend on the path of the disease and the efficacy and distribution of any vaccines. In addition. the level of continuing policy support, the evolution of corporate and consumer confidence and the degree of disruption caused by newly agreed post-Brexit trading arrangements will determine the longer-term trajectory of activity.
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31-12-2020|December 2020|31-Dec-2020
SICAV
European Select Equity Fund
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A high-conviction, concentrated all-cap portfolio of around 25-45 primarily European-listed companies. Unconstrained by sector or country, we seek to invest in higher quality businesses at attractive valuations which we believe are being systematically underappreciated by the market. View More...
ISIN LU2041631891
Bloomberg TRESEQI:LX
WKN A2PRQC
Valoren 49934490
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(EUR)
€12.14
Data as of: 04-Mar-2021
1YR Return
(Annualised)
8.12%
Data as of: 31-Jan-2021
Since
Inception
13.87%
Data as of: 31-Jan-2021
Fund Size
(EUR)
€7.8m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.82%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
N/A
Data as of: 31-Jan-2021
Since
Inception
13.87%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  10-Sep-2019
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SICAV
European Smaller Companies Equity Fund
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A diversified growth portfolio of around 70-100 small- and mid-cap European companies. We seek high quality, innovative companies that can demonstrate durable and attractive rates of growth and grow much larger over the longer term. View More...
ISIN LU0382931417
Bloomberg TPESCEI LX
WKN A0RC40
Valoren 4854532
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COMMENTARY

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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(EUR)
€74.95
Data as of: 04-Mar-2021
1YR Return
(Annualised)
29.89%
Data as of: 31-Jan-2021
Since
Inception
17.67%
Data as of: 31-Jan-2021
Fund Size
(EUR)
€205.8m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-1.50%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
7.83%
Data as of: 31-Jan-2021
Since
Inception
17.67%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  26-Nov-2008
31-Jan-2021 - Ben Griffiths, Portfolio Manager,
We continue to assess the medium- and longer-term outlook for the companies that we hold in the portfolio. A strong positive influence has been our exposure to companies whose relative fundamentals have improved over the recent challenging months. We are typically reducing positions in those companies where we feel that the impact may be more transitory and taking some money out of very strong performers to redeploy into areas that will benefit from a recovery.
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31-12-2020|December 2020|31-Dec-2020
SICAV
European Structured Research Equity Fund
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A widely diversified portfolio of typically 200-300 European stocks, selected by the investment manager’s team of research analysts. The fund seeks to leverage the firm’s broad and deep research across the European opportunity set. View More...
ISIN LU0207128991
Bloomberg TRPESRI LX
WKN A0DP26
Valoren 2026940
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(EUR)
€23.93
Data as of: 04-Mar-2021
1YR Return
(Annualised)
-0.52%
Data as of: 31-Jan-2021
Since
Inception
5.34%
Data as of: 31-Jan-2021
Fund Size
(EUR)
€1.0m
Data as of: 31-Jan-2021
Perf Change
(Daily)
0.17%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
2.72%
Data as of: 31-Jan-2021
Since
Inception
5.34%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  07-Jan-2005
31-Jan-2021 - Mitchell Todd, Portfolio Manager,
The MSCI Europe Index fell as worries intensified about the economic damage caused by the spread of coronavirus variants, the extension of national lockdowns, and delays in vaccination programmes. Six of the 11 sectors that comprise the index weakened. Real estate fell the most followed by financials, consumer staples and consumer discretionary. Energy and information technology rose the most, followed by materials and health care. Communication services firmed.
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Asia-Pacific Equity

Investing for the long term is something of a mantra at T. Rowe Price. We never compromise our investment style to follow short-term market trends. Our consistent approach and long term perspective allows us to look through short-term volatility and seek to capture the most attractive opportunities.

SICAV
Asian ex-Japan Equity Fund
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An all-cap, growth-oriented portfolio of approximately 80-120 Asia ex-Japan stocks that represent our highest conviction ideas. The fund seeks to capitalise on the inefficiencies and growth potential of economies in the region. View More...
ISIN LU0266341725
Bloomberg TRPAXJI LX
WKN A0MKKA
Valoren 2833332
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$36.02
Data as of: 04-Mar-2021
1YR Return
(Annualised)
42.13%
Data as of: 31-Jan-2021
Since
Inception
9.39%
Data as of: 31-Jan-2021
Fund Size
(USD)
$1.2b
Data as of: 31-Jan-2021
Perf Change
(Daily)
-1.88%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
10.73%
Data as of: 31-Jan-2021
Since
Inception
9.39%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  13-Dec-2006
31-Jan-2021 - Anh Lu, Portfolio Manager,
Valuations in Asia ex-Japan have normalised but the gap between the region versus developed markets is still wide. While there are pockets of excessive optimism, we believe that many high-quality growth businesses are still trading at reasonable multiples. On earnings, we expect healthier growth from 2021 onwards although the extent of improvement will depend on the pace of economic normalisation. We remain constructive on the medium- to longer-term outlook for Asia ex-Japan equities.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Asian Opportunities Equity Fund
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A high conviction portfolio of around 40-70 Asia ex-Japan companies that we believe can reliably compound earnings and sustain strong cash flow generation over time. Put simply, we aim to buy high quality businesses run by high quality people. View More...
ISIN LU1044871900
Bloomberg TRAOAEI LX
WKN A114WL
Valoren 24532532
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$23.06
Data as of: 04-Mar-2021
1YR Return
(Annualised)
38.19%
Data as of: 31-Jan-2021
Since
Inception
12.85%
Data as of: 31-Jan-2021
Fund Size
(USD)
$375.4m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-1.71%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
10.71%
Data as of: 31-Jan-2021
Since
Inception
12.85%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  21-May-2014
31-Jan-2021 - Eric C. Moffett, Portfolio Manager,
We maintain a constructive outlook on the region. In north Asia, we recognise pockets of froth which have been the subject of retail speculative fervour such as electric-vehicle names but our focus is on high-quality companies with earnings visibility. We think there are attractive risk/reward profiles in certain value-oriented or cyclical stocks. Some of these were unfairly sold off due to the pandemic despite strong fundamentals and we think there are investment opportunities among them.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Japanese Equity Fund
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Diversified all-cap portfolio offering exposure to typically 60-80 of our best growth ideas in Japan. We seek to buy durable companies where we believe we have an insight into the potential for rising shareholder value typically coming from structural changes or fundamental transformation. View More...
ISIN LU0230817925
Bloomberg TRPJAEI LX
WKN A0MKJ6
Valoren 2434841
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(EUR)
€20.42
Data as of: 04-Mar-2021
1YR Return
(Annualised)
23.66%
Data as of: 31-Jan-2021
Since
Inception
4.87%
Data as of: 31-Jan-2021
Fund Size
(EUR)
€2.2b
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.97%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
12.31%
Data as of: 31-Jan-2021
Since
Inception
4.87%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  16-Dec-2005
31-Jan-2021 - Archibald Ciganer, Portfolio Manager,
As we enter the next stage of the equity cycle and the evolution of domestic and international political governance progresses, we continue to believe that Japan is a compelling active management case, particularly as the market is under-owned and displays positive change dynamics. We believe the expected global economic recovery this year, together with the vaccine rollout, will provide a cyclical tailwind for Japanese equities.
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31-12-2020|December 2020|31-Dec-2020

Emerging Markets Equity

In emerging markets, identifying winners can be profitable; but avoiding losers is critical. Investing in the region since 1985, we believe there is no substitute for proprietary, fundamentally-driven research. That’s why today we have one of the industry’s deepest emerging and frontier markets equity research platforms.

SICAV
Emerging Markets Discovery Equity Fund
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A focused, yet well-diversified all-cap fund of typically 50-80 emerging markets companies. We seek to identify “forgotten” stocks that are under-owned and under-researched by mainstream investors, and which we believe are positioned to benefit from a fundamental re-rating. View More...
ISIN LU1244138340
Bloomberg TREMVEI LX
WKN A14XYX
Valoren 29636631
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$18.67
Data as of: 04-Mar-2021
1YR Return
(Annualised)
17.68%
Data as of: 31-Jan-2021
Since
Inception
10.89%
Data as of: 31-Jan-2021
Fund Size
(USD)
$153.7m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-1.32%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
1.76%
Data as of: 31-Jan-2021
Since
Inception
10.89%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  14-Sep-2015
31-Jan-2021 - Ernest Yeung, Portfolio Manager,
We remain constructive toward emerging market (EM) equities. The K-shaped recovery that took hold in EM last year, with some economies recovering while others stayed focused on containing the pandemic, resulted in some positive developments. It prompted management teams to become more proactive – cutting costs, selling assets, shifting capacity, and changing product mix. We found opportunities among such companies and believe the recovery period from the pandemic provides a favourable backdrop for value investing.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Emerging Markets Equity Fund
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A diversified portfolio of approximately 90-120 emerging markets stocks, unconstrained by country, sector, or market cap. We aim to identify high quality companies with long-term sustainable above-market earnings growth, at prices that do not fully reflect that growth. View More...
ISIN LU0133084979
Bloomberg TRPGEMI LX
WKN 767356
Valoren 1274281
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$52.63
Data as of: 04-Mar-2021
1YR Return
(Annualised)
26.29%
Data as of: 31-Jan-2021
Since
Inception
10.13%
Data as of: 31-Jan-2021
Fund Size
(USD)
$3.2b
Data as of: 31-Jan-2021
Perf Change
(Daily)
-1.39%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
6.01%
Data as of: 31-Jan-2021
Since
Inception
10.13%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  02-Dec-2003
31-Jan-2021 - Gonzalo Pángaro, Portfolio Manager,
Much of Asia has fared relatively well during the coronavirus crisis; overall, cases have been comparatively low, and economies are largely open and recovering. By contrast, emerging markets outside Asia have generally underperformed, and we have a relatively high exposure here. For example, Brazil and Russia are viewed as value markets with exposure to commodities; we believe that a sustained upturn in their prospects would be positive for the portfolio.
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31-12-2018|December 2018|31-Dec-2018
SICAV
Frontier Markets Equity Fund
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A portfolio of around 60-80 high quality, high growth companies from across frontier markets. The fund aims to offer pure exposure to the dynamic and fast-growing regions of frontier markets, which we define as any country not included in developed or emerging market indices. View More...
ISIN LU1079765662
Bloomberg TRPFMEI LX
WKN A11660
Valoren 24785101
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$12.04
Data as of: 04-Mar-2021
1YR Return
(Annualised)
0.89%
Data as of: 31-Jan-2021
Since
Inception
1.89%
Data as of: 31-Jan-2021
Fund Size
(USD)
$97.9m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.17%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
-4.75%
Data as of: 31-Jan-2021
Since
Inception
1.89%
Data as of: 31-Jan-2021
Share Class Inception Date  :  24-Jun-2014
31-Jan-2021 - Johannes Loefstrand, Portfolio Manager,
The macroeconomic fundamentals and demographics in many frontier markets today are favourable and, in some cases, resemble those of emerging countries approximately 15 to 20 years ago. We believe these economies have the potential to grow much faster than those in the developed and emerging markets universes. Frontier markets face a challenging year in 2021; however, we are encouraged by the effects the rollout of vaccine programmes will have on the global economy.
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31-12-2020|December 2020|31-Dec-2020
SICAV
Middle East & Africa Equity Fund
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A diversified portfolio of typically 50-80 stocks of companies from the Middle East and Africa region. Our investment approach is growth-orientated, unconstrained, and aims to deliver strong absolute performance by exploiting the inefficiencies of the local markets. View More...
ISIN LU0310188205
Bloomberg TRPMEAI LX
WKN A0M1XR
Valoren 3428876
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$13.11
Data as of: 04-Mar-2021
1YR Return
(Annualised)
0.48%
Data as of: 31-Jan-2021
Since
Inception
1.64%
Data as of: 31-Jan-2021
Fund Size
(USD)
$5.3m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.15%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
-2.98%
Data as of: 31-Jan-2021
Since
Inception
1.64%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  04-Sep-2007
31-Jan-2021 - Seun Oyegunle, CFA, Portfolio Manager,
Overall, we believe the long-term outlook for the Africa and Middle East region remains robust, despite the current global slowdown. Looking beyond the current crisis, growth is likely to be driven by some of the world’s most attractive demographics, rising urbanisation and levels of infrastructure investment, and a strong asset base in natural resources. In our view, there is much scope for economic improvement, boosted by the implementation of reforms and growing structural domestic demand.
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31-12-2020|December 2020|31-Dec-2020

U.S. Equity

We’ve been a leader in US equity investment since we were founded in 1937. During that time, market conditions have constantly changed, but one thing has remained reliably the same – our consistent investment approach and resolute focus on delivering long-term returns for our clients.

SICAV III
T. Rowe Price Sustainable US Large Cap Growth Equity Fund
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A pure growth portfolio of typically between 60-75 US large cap stocks with diversified exposure across industries. We seek to invest in competitively-advantaged businesses at various stages of their corporate life-cycle, leveraging innovation and change to drive rapid growth in earnings and cash flow.

Companies that feature on our socially responsible exclusion list, which aligns with our clients’ most common ESG concerns, are not included in the fund.

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ISIN LU2095276858
Bloomberg SETULIU:LX
WKN A2PY8N
Valoren 52040220
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$13.33
Data as of: 04-Mar-2021
1YR Return
(Annualised)
N/A
Data as of: 31-Jan-2021
Since
Inception
N/A
Data as of: 31-Jan-2021
Fund Size
(USD)
$290.8m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-2.13%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
N/A
Data as of: 31-Jan-2021
Since
Inception
N/A
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  04-Feb-2020
30-Apr-2020 - Taymour Tamaddon, Portfolio Manager,
We do not pretend to know how long the current crisis will persist or how deep the economic fallout will be. But we will remain opportunistic and firmly focused on the ideas that we believe have the potential to create the most value when we emerge on the other side of this crisis. As always, we are keeping our pencils sharp and will look to add to our highest-conviction ideas.
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30-06-2020|June 2020|30-Jun-2020
SICAV
US Blue Chip Equity Fund
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A broadly diversified portfolio of typically 100-140 stocks of large and medium sized US ‘blue chip’ companies. We seek to identify “all-season” growth stocks that offer the potential to deliver sustainable returns through differing market cycles. View More...
ISIN LU0133088293
Bloomberg TRPUBCI LX
WKN 767360
Valoren 1274291
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COMMENTARY

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OK
Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$25.00
Data as of: 04-Mar-2021
1YR Return
(Annualised)
28.67%
Data as of: 31-Jan-2021
Since
Inception
17.44%
Data as of: 31-Jan-2021
Fund Size
(USD)
$1.2b
Data as of: 31-Jan-2021
Perf Change
(Daily)
-2.31%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
17.48%
Data as of: 31-Jan-2021
Since
Inception
17.44%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  04-May-2015
31-Jan-2021 - Larry J. Puglia, Portfolio Manager,
We recognise it is difficult to predict the lingering effects of the pandemic, tax and regulatory policies, and many economic factors with any degree of conviction. With this in mind, we think it is prudent to avoid companies that we feel require a robust economic backdrop. Instead, we will continue to emphasise high-quality growth companies that we believe can continue to generate durable earnings and free cash flow growth in most economic and regulatory environments.
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31-12-2020|December 2020|31-Dec-2020
SICAV
US Equity Fund
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A best-ideas portfolio invested in approximately 50-60 large cap US companies, irrespective of style. The portfolio is tilted opportunistically between growth and value in respect to changing market conditions and investment opportunities. View More...
ISIN LU0429319774
Bloomberg TRUSLRI LX
WKN A0X87P
Valoren 10303036
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$47.65
Data as of: 04-Mar-2021
1YR Return
(Annualised)
12.04%
Data as of: 31-Jan-2021
Since
Inception
14.19%
Data as of: 31-Jan-2021
Fund Size
(USD)
$904.5m
Data as of: 31-Jan-2021
Perf Change
(Daily)
-0.38%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
10.29%
Data as of: 31-Jan-2021
Since
Inception
14.19%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  26-Jun-2009
31-Jan-2021 - Jeff Rottinghaus, Portfolio Manager ,
Rapid progress on the development of several vaccines is clearly the most positive sign for the year ahead. As the pandemic hopefully recedes and economies reopen, a broader economic recovery is likely to benefit many of the sectors that were most damaged by the virus. While this could also bring an accelerated earnings recovery, it might not translate into strong equity returns, with much of the recovery already priced into the markets.
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31-12-2020|December 2020|31-Dec-2020
SICAV
US Large Cap Growth Equity Fund
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A pure growth portfolio of typically between 60-75 US large cap stocks with diversified exposure across industries. We seek to invest in competitively-advantaged businesses at various stages of their corporate life-cycle, leveraging innovation and change to drive rapid growth in earnings and cash flow. View More...
ISIN LU0174119775
Bloomberg TRPLGEI LX
WKN A0BMAA
Valoren 1579138
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$80.52
Data as of: 04-Mar-2021
1YR Return
(Annualised)
34.33%
Data as of: 31-Jan-2021
Since
Inception
12.67%
Data as of: 31-Jan-2021
Fund Size
(USD)
$3.2b
Data as of: 31-Jan-2021
Perf Change
(Daily)
-2.15%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
19.17%
Data as of: 31-Jan-2021
Since
Inception
12.67%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  31-Jul-2003
31-Jan-2021 - Taymour Tamaddon, Portfolio Manager,
Rapid progress on vaccines against COVID-19 is clearly the most positive sign for the year ahead. As the pandemic hopefully recedes and economies reopen, a broader economic recovery is likely to benefit many of the sectors that were most damaged by the virus. Looking ahead, it will be critical to seek out companies that appear well positioned to emerge from the pandemic with lasting competitive advantages, while avoiding firms that face longer-term secular challenges.
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31-12-2020|December 2020|31-Dec-2020
SICAV
US Large-Cap Value Equity Fund
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A best ideas portfolio of around 70-80 US large cap companies with hidden value and upside potential that we believe are overlooked by the market. We look for high quality companies with effective management teams where we believe they can materially improve the business. View More...
ISIN LU0133100338
Bloomberg TRPULVI LX
WKN 767380
Valoren 1274365
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$37.40
Data as of: 04-Mar-2021
1YR Return
(Annualised)
5.28%
Data as of: 31-Jan-2021
Since
Inception
6.82%
Data as of: 31-Jan-2021
Fund Size
(USD)
$490.7m
Data as of: 31-Jan-2021
Perf Change
(Daily)
0.03%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
3.40%
Data as of: 31-Jan-2021
Since
Inception
6.82%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  27-Mar-2002
31-Jan-2021 - Heather McPherson, Portfolio Manager,
The outlook for U.S. equities continues to be uncertain. Near-term volatility remains despite the market’s favourable reaction to the U.S. presidential and Georgia runoff elections. Headline market indices disguise the weakness of companies exposed to cyclical and secular worries due to the increasingly concentrated nature of the large-cap segment. Given this, we believe our long-term investment horizon will be beneficial as we seek to identify companies that look attractive under a more “normalised” environment.
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31-12-2020|December 2020|31-Dec-2020
SICAV
US Smaller Companies Equity Fund
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A widely diversified portfolio of around 150 to 250 smaller capitalisation companies (below US$12 billion market cap) in the US. We have a core style orientation that maintains broad exposure to both growth and value stocks. View More...
ISIN LU0133096981
Bloomberg TRPSCEI LX
WKN 767372
Valoren 1274355
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Risk & Reward ?
(SRRI)
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$102.68
Data as of: 04-Mar-2021
1YR Return
(Annualised)
30.02%
Data as of: 31-Jan-2021
Since
Inception
12.62%
Data as of: 31-Jan-2021
Fund Size
(USD)
$2.9b
Data as of: 31-Jan-2021
Perf Change
(Daily)
-1.23%
Data as of: 04-Mar-2021
3YR Return
(Annualised)
18.32%
Data as of: 31-Jan-2021
Since
Inception
12.62%
Data as of: 31-Jan-2021
Important Information
Share Class Inception Date  :  28-Sep-2001
31-Jan-2021 - Curt Organt, Portfolio Manager,
We are optimistic about a continued economic recovery given the prospect of multiple vaccines being rolled out this year. That said, we are mindful of the many challenges that remain before we are back to a more normal environment and of the fact that market valuations are extended. Our focus remains on identifying the most attractive opportunities across the full range of the small-cap and mid-cap segment of the U.S. equity market.
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31-12-2020|December 2020|31-Dec-2020

Asia-Pacific Fixed Income

The Asia-Pacific fixed income universe has expanded rapidly in recent years. At T. Rowe Price, our global research platform is ideally positioned to capture this growth and the market opportunities it offers.

SICAV
Asia Credit Bond Fund
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An actively managed, diversified portfolio of U.S. dollar-denominated fixed income securities of issuers domiciled, or exercising the predominant part of their economic activity, in Asian countries, excluding Japan. The fund seeks superior risk-adjusted returns via security selection and relative value trades. View More...
ISIN LU1697875810
Bloomberg TRPACBI:LX
WKN A2JHT2
Valoren 41361801
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Average
Coupon
4.67%
Data as of: 31-Jan-2021
Average
Maturity
7.53 yrs
Data as of: 31-Jan-2021
Average
Duration
5.92 yrs
Data as of: 31-Jan-2021
Fund Size
(USD)
$30.7m
Data as of: 31-Jan-2021
Perf Chg
(Daily)
-0.08%
Data as of: 04-Mar-2021
Since
Inception
7.38%
Data as of: 31-Jan-2021
3YR Return
(Annualised)
N/A
Data as of: 31-Jan-2021
Risk & Reward
(SRRI)?
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$12.12
Data as of: 04-Mar-2021
1 YR Return
(Annualised)
7.38%
Data as of: 31-Jan-2021
Since
Inception
7.38%
Data as of: 31-Jan-2021
Share Class Inception Date  :  09-Apr-2018
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Global Fixed Income

The global fixed income universe has expanded rapidly in recent years. At T. Rowe Price, our global research platform, with dedicated teams of sovereign, credit and currency expertise located across the US, Europe and Asia, is ideally positioned to capture this growth and the market opportunities it offers.

SICAV
Diversified Income Bond Fund
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A globally diversified portfolio of bonds of all types from a wide range of issuers around the world, including emerging markets. The fund seeks to generate stable income. View More...
ISIN LU1244139231
Bloomberg TRPGMSI LX
WKN A2DH6B
Valoren 29636786
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COMMENTARY

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Average
Coupon
3.97%
Data as of: 31-Jan-2021
Average
Maturity
7.92 yrs
Data as of: 31-Jan-2021
Average
Duration
4.47 yrs
Data as of: 31-Jan-2021
Fund Size
(USD)
$150.7m
Data as of: 31-Jan-2021
Perf Chg
(Daily)
-0.08%
Data as of: 04-Mar-2021
Since
Inception
5.70%
Data as of: 31-Jan-2021
3YR Return
(Annualised)
4.83%
Data as of: 31-Jan-2021
Risk & Reward
(SRRI)?
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$12.51
Data as of: 04-Mar-2021
1 YR Return
(Annualised)
3.63%
Data as of: 31-Jan-2021
Since
Inception
5.70%
Data as of: 31-Jan-2021
Share Class Inception Date  :  15-Dec-2016
31-Jan-2021 - Ken Orchard, Portfolio Manager,
Markets appears to be shrugging off coronavirus-related concerns even as new restrictions on mobility continue to appear. Uncertainty around vaccination rollouts, new virus variants and the ensuing pace of the economic recovery serve as key risks. We are also keeping a close eye on the tightening of policy in China as the country celebrates a new year and how the U.S. Federal Reserve handles what is expected to be a transitory increase in inflation.
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SICAV
Dynamic Global Bond Fund
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We use a flexible, benchmark-agnostic approach to invest across the full global fixed income opportunity set aiming to provide regular returns, capital preservation and diversification from equity risk. View More...
ISIN LU1216622214
Bloomberg TRGUIAU LX
WKN A14UB9
Valoren 28551283
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FUND PROFILE
COMMENTARY

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Average
Coupon
3.69%
Data as of: 31-Jan-2021
Average
Maturity
7.45 yrs
Data as of: 31-Jan-2021
Average
Duration
-0.87yrs
Data as of: 31-Jan-2021
Fund Size
(USD)
$1.3b
Data as of: 31-Jan-2021
Perf Chg
(Daily)
0.00%
Data as of: 04-Mar-2021
Since
Inception
2.60%
Data as of: 31-Jan-2021
3YR Return
(Annualised)
2.93%
Data as of: 31-Jan-2021
Risk & Reward
(SRRI)?
1 2 3 4 5 6 7 Data as of: 16-Feb-2021
NAV
(USD)
$11.73
Data as of: 04-Mar-2021
1 YR Return
(Annualised)
11.15%
Data as of: 31-Jan-2021
Since
Inception
2.60%
Data as of: 31-Jan-2021
Share Class Inception Date  :  10-Jun-2015