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Thornburg Global Opportunities Fund (UCITS)

Fund Assets
$14.7 M
As of 30 Nov 2024
NAV
$34.41
As of 19 Dec 2024
Change
$-0.37
As of 19 Dec 2024
YTD NAV Performance
11.76%
As of 19 Dec 2024
Inception Date
30 Mar 2012

Portfolio Managers

Vice Chairman, Chief Investment Strategist and Managing Director
Portfolio Manager and Managing Director
Overview

Overview

Why Invest in This Fund?

  • A flexible, focused equity portfolio seeking investment opportunities from around the globe and across market capitalizations.
  • A proven fundamental research process to identify and select quality, undervalued businesses with a defined path to success and value creation.
  • The fund seeks to outperform global equity markets over a full market cycle.

Investment Objective

The fund’s goal is to provide investors with long-term capital appreciation by investing in equity and debt securities of all types from issuers around the world.

Investment Approach

The fund has the flexibility to seek investment opportunities from around the world and across market capitalization. It employs a fundamental, bottom-up investment process to identify companies that we believe have quality business models, trading at a discount to long-term intrinsic value, and have a defined path to success. The portfolio typically holds 30-40 securities and is diversified across countries and sectors.

Performance

Performance

Returns

2014
2015
2016
2017
2018
2019
2020
2021
2022
2023
Total Return (%)
19.97
-0.60
5.34
18.80
-22.40
28.68
22.96
14.10
-10.37
17.61
MSCI ACWI Index (%)
4.17
-2.37
7.86
23.97
-9.42
26.60
16.25
18.54
-18.36
22.20
YTD
1y
3y
5y
10y
Inception
Total Return (%)
17.86
30.49
8.57
14.86
8.78
10.86
MSCI ACWI Index (%)
18.66
31.76
8.09
12.19
9.39
9.87
Morningstar Category Avg. (%)
15.49
28.04
5.74
10.19
7.5
Morningstar Quartile
2
1
1
2
YTD
1y
3y
5y
10y
Inception
Total Return (%)
14.39
22.68
8.06
12.22
7.68
10.45
MSCI ACWI Index (%)
20.34
26.12
7.68
11.36
9.28
9.85
Morningstar Category Avg. (%)
15.55
21.4
5.13
9.07
7.26
Morningstar Quartile
2
1
1
2
YTD
1y
3y
5y
10y
Inception
Total Return (%)
17.86
30.49
27.96
99.94
132.03
262.90
MSCI ACWI Index (%)
18.66
31.76
26.28
77.73
145.26
224.30
YTD
1y
3y
5y
10y
Inception
Total Return (%)
14.39
22.68
26.19
77.97
109.52
252.20
MSCI ACWI Index (%)
20.34
26.12
24.85
71.26
142.92
228.87
Hypothetical Growth of $10,000

Hypothetical Growth of $10,000

(As of 30 Nov 2024)
(Hypothetical Growth of $10,000 vs MSCI ACWI Index)
Fund Facts

Fund Facts

(As of 30 Nov 2024)
Net Fund Assets
$14.7 M
Benchmark
MSCI ACWI Index
Morningstar Category
EAA Fund Global Large-Cap Blend Equity
Fund Symbol
TBGOPPI ID
Share Class
I Acc
Share Class Inception Date
30 Mar 2012
Number of Holdings
39
Portfolio Turnover
15%
Distribution Frequency
N/a
Characteristics

Characteristics

Portfolio

(As of 30 Nov 2024)
Portfolio
Benchmark
Weighted Average Market Cap
$342.4 B
$700.7 B
Median Market Cap
$90.9 B
$13.7 B
Price to Earnings - Forward 1YR
13.2x
19.8x
Dividend Yield
2.6%
1.8%
Price to Earnings - Trailing 12 Months
16.4x
22.8x
Price to Cash Flow
7.9x
14.1x
Portfolio
Benchmark
Price to Book Value
1.8x
3.3x
Return on Assets - 5 YR
8.2%
8.9%
Return on Equity - 5 YR
15.4%
30.3%
Historical 3YR Sales Growth
17.8%
17.7%
Active Share
92.4%
Risk & Return Profile

Risk & Return Profile

(As of 30 Nov 2024)
3y
5y
10y
Annualized Alpha (%)
1.23
0.97
-1.34
Beta
0.90
1.01
1.02
R-Squared (%)
82.31
86.57
81.11
Standard Deviation (%)
16.01
18.71
16.68
Sharpe Ratio
0.26
0.52
0.36
Information Ratio
0.06
0.13
-0.22
Up Capture (%)
90.03
97.88
96.42
Down Capture (%)
85.28
93.07
103.69
Portfolio

Portfolio

Top Holdings

(As of 31 Oct 2024)
Name
Ticker/Symbol
Sector
Weight %
Meta Platforms Inc
META
Communication Services
6.5
Alphabet Inc
GOOGL
Communication Services
5.2
SAP SE
SAP
Information Technology
4.2
Taiwan Semiconductor Manufacturing Co Ltd
2330
Information Technology
4.1
Samsung Electronics Co Ltd
005930
Information Technology
3.8
TotalEnergies SE
TTE
Energy
3.6
Charles Schwab Corp/The
SCHW
Financials
3.6
Booking Holdings Inc
BKNG
Consumer Discretionary
3.6
Reliance Industries Ltd
RIGD
Energy
3.5
Bank of Ireland Group PLC
BIRG
Financials
3.5
Exposure Breakdown

Exposure Breakdown

(As of 30 Nov 2024)
Sector Allocation
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
5%
10%
15%
20%
25%
30%
Communication Services
25.0
7.9
Financials
17.8
17.0
Consumer Discretionary
16.6
10.9
Information Technology
13.2
25.1
Energy
8.5
4.0
Industrials
7.7
10.6
Materials
3.9
3.7
Consumer Staples
3.5
6.0
Health Care
2.4
10.0
Cash & Cash Equivalents
1.4
Real Estate
0.0
2.1
Utilities
0.0
2.6
Sector Allocation
Fund (%)
Communication Services
25.0
Financials
17.8
Consumer Discretionary
16.6
Information Technology
13.2
Energy
8.5
Industrials
7.7
Materials
3.9
Consumer Staples
3.5
Health Care
2.4
Cash & Cash Equivalents
1.4
Real Estate
0.0
Utilities
0.0
Top 10 Industries
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
5%
10%
15%
20%
Media & Entertainment
14.3
6.4
Telecommunication Services
10.7
1.5
Banks
8.5
7.1
Energy
8.5
4.0
Consumer Services
7.7
2.1
Capital Goods
6.4
7.4
Financial Services
6.3
6.7
Semiconductors & Semiconductor Equipment
5.6
9.1
Consumer Discretionary Distribution & Retail
5.1
5.0
Software & Services
4.2
9.1
Top 10 Industries
Fund (%)
Media & Entertainment
14.3
Telecommunication Services
10.7
Banks
8.5
Energy
8.5
Consumer Services
7.7
Capital Goods
6.4
Financial Services
6.3
Semiconductors & Semiconductor Equipment
5.6
Consumer Discretionary Distribution & Retail
5.1
Software & Services
4.2
Top 10 Countries
Fund (%)
Benchmark (%)
Region

Portfolio

Benchmark

0%
10%
20%
30%
40%
50%
60%
70%
United States
43.0
66.7
North America
Germany
8.4
1.9
Europe ex UK
France
7.7
2.3
Europe ex UK
United Kingdom
6.1
3.1
UK
Hong Kong
5.1
0.4
Asia Pacific ex Japan
China
5.0
2.6
Asia Pacific ex Japan
Taiwan
3.8
1.8
Asia Pacific ex Japan
Korea, Republic of (South Korea)
3.4
0.9
Asia Pacific ex Japan
India
3.3
1.9
Asia Pacific ex Japan
Ireland
3.3
0.1
Europe ex UK
Top 10 Countries
Fund (%)
United States
43.0
Germany
8.4
France
7.7
United Kingdom
6.1
Hong Kong
5.1
China
5.0
Taiwan
3.8
Korea, Republic of (South Korea)
3.4
India
3.3
Ireland
3.3
Capitalization
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
10%
20%
30%
40%
50%
60%
70%
80%
90%
100%
Large Cap (> $12 B)
86.2
94.6
Mid Cap ($2.5 to $12 B)
11.2
5.4
Small Cap (< $2.5 B)
2.6
0.0
Capitalization
Fund (%)
Large Cap (> $12 B)
86.2
Mid Cap ($2.5 to $12 B)
11.2
Small Cap (< $2.5 B)
2.6
Portfolio Managers

Portfolio Managers

Brian McMahon

Brian McMahon

Vice Chairman, Chief Investment Strategist and Managing Director
Brian McMahon is chief investment strategist for Thornburg Investment Management. Brian is deeply respected for his market and investment insight and serves as a key voice for the investment team and Thornburg clients. He also co-manages Thornburg’s global equity portfolios and serves as vice chairman of Thornburg. Brian joined Thornburg in 1984 as chief investment officer; a role he held…
Learn More
Miguel Oleaga

Miguel Oleaga

Portfolio Manager and Managing Director
Miguel Oleaga is portfolio manager for Thornburg Investment Management. He joined the firm in 2014 as an equity research analyst, was promoted to associate portfolio manager in 2017, and was named portfolio manager in 2018. Miguel holds a BS in business administration (finance and management specialties) from the University of Massachusetts. Prior to his joining Thornburg, Miguel worked at Putnam…
Learn More

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