Strategy Description

Exposure to large and stable names globally – high quality and reasonably priced stocks from both developed and emerging markets

We follow a rigorous and scientifically proven stock selection approach, prioritizing strong Value, Quality, Safety, Payout and Sentiment characteristics. 13,000 stocks are scored daily across 30 factors to drive objective decision making.

The portfolio is regularly rebalanced to these factors. The regional allocation is generally in line with global markets, but sector allocation may deviate due to bias toward Value and Quality characteristics.

Global diversification helps managed domestic biases and a robust quantitative scoring process allows lesser-known but still excellent businesses to be included. The portfolio consists of our highest conviction value-tilted stock picks in the US, Europe and Asia.

Portfolio Performance

2019202020212022202320242025YTD
Portfolio (%)18.993.368.75-15.1917.114.5216.652512.8445
Annualized ReturnStandard DeviationDividend Yield
Portfolio7.19595071523%13.927936059765%2.05%

Allocation Breakdown

Asset Class


Equity99.56%
Fixed Income0
Commodities0
Cash0.44%

Geo


North America58.89%
Greater Europe22.97%
Asia15.23%

Sector


Technology28.49%
Healthcare10.33%
Consumer Discretionary9.66%
Financials 12.93%
Communications18.4%
Industrials2.41%
Consumer Staples 4.89%
Real Estate
Materials
Utilities2.41%
Energy9.93%

Top Holdings

Asset ClassWeight (%)
1. Samsung Electronics Co Ltd4.60%
2. Micron Technology Inc4.55%
3. Apple Inc3.78%
4. Taiwan Semiconductor Manufacturing Co Ltd3.62%
5. Cisco Systems Inc3.61%
6. Alphabet Inc3.41%
7. Microsoft Corp3.01%
8. NetEase Inc2.89%
9. AbbVie Inc2.82%
10. Meta Platforms Inc2.80%

Related Investments

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