XXXXX | Emerging Markets Equity Select Fund
Why Invest
Globally diversified, contrarian approach to long-term capital growth by uncovering out-of-favor value opportunities across countries and sectors within emerging markets
Benchmark Agnostic Unconstrained Investment Style
Concentrated absolute-return focused portfolio of 30–50 value stocks selected through bottom-up research, agnostic to the MSCI Emerging Markets Index. The opportunity set is focused on larger, more liquid companies, being aware of each country’s macroeconomic backdrop rather than being macro-led.
Portfolio Construction Diversified Across Under-Valued Opportunities
Targets five categories of value opportunities: fallen angels, cyclicals, special situations, structural challenges and hidden growth. This mix adds an extra layer of diversification to a high-conviction portfolio.
Risk Management
Each stock is researched and modeled by both portfolio managers, with buy and sell decisions requiring their consensus. The fund’s risk scoring process evaluates a variety of company-specific financial criteria.
Fund Facts
Performance & Exposures
Returns & Distributions
Stewardship & Sustainability
Portfolio Management Team
Documents
Fund Literature - 37 documents
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