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INVESTOR PROFILE

Key Facts

ISIN FR0013290939

NAV: 33.02 EUR

NAV DATE: 07-May-2025

YTD PERF: -7.5%

YTD PERF. DATE: 30-Apr-2025

Total Net Assets (all classes, m) 2,424.2 EUR

Number of holdings 32

Weight of top 10 stocks 50.2%

Share Class Currency EUR

SFDR Article 8

RISKS AND REWARDS

Lower Risk Higher Risk

1 2 3 4 5 6 7

Typically lower rewards Typically higher rewards

This indicator represents the risk and reward profile presented in the Key Investor Information Document (KIID). See additional risk information in KIID. It is not guaranteed and may change during the month. The fund is aimed at investors with a long-term investment horizon.

Investment Policy

The investment objective of the SICAV ("the Fund") is to seek a performance unrelated to an index, with a long term outlook, through a selection of securities based on criteria related to the company and not to the stock markets. The SICAV is invested and/or exposed at all times with at least 60% of its assets in international equities.
The Fund is actively managed. The index is provided for comparative purposes only.
The Fund is aimed at investors with a long-term investment horizon (typically 5 years or more).

Main Risks

This fund has the following core inherent risks (non-exhaustive list):

• Investing involves risk including possible loss of principal,

• The value of all investments and the income derived therefrom can decrease as well as increase,

• There is no assurance that the investment objective of the fund will be achieved,

• When a Share Class is denominated in a currency that is different from yours, changes in exchange rates can negatively impact both the value of your investment and the level of income received.

A more detailed description of the risk factors that apply to the fund is set out in the Prospectus.

PERFORMANCE & HOLDINGS As of 30-Apr-2025

CUMULATIVE PAST PERFORMANCE

Cumulative returns shown are monthly returns calculated on the last business day of each month.

Index: MSCI AC World - Net Return. The index is used for comparative purposes only and the fund does not seek to replicate the index.
Please note that performance is rebased to 100.
For additional information on the index and the fund’s inception date, please refer to the monthly report.

Calendar Past Performance

This chart shows the fund’s performance as the percentage loss or gain per year over the last 10 years compared to the index.

Past performance is not a reliable indicator of future performance. Markets could develop very differently in the future. It can help you to assess how the fund has been managed in the past and compare it to the index. For the avoidance of doubt, the fund is actively managed. The index performance is provided for comparative and information purposes only.

 

Performance is shown after the deduction of ongoing charges. Any applicable entry and exit charges are excluded from the calculation. This share class came into existence in 2017. Past performance has been calculated in EUR.

 

Rolling Net (%)

Annualised
QTD YTD 1Y 3Y 5Y 10Y Inception
Fund -3.0 -7.5 0.2 6.7 7.7 - 8.4
Index -4.1 -9.3 5.2 7.6 12.2 - 9.3

Rolling Volatility (%)

Annualised
1Y 3Y 5Y 10Y
Fund 15.9 15.3 14.3 -
Index 15.9 14.4 13.8 -

Calendar Year Past Performance (%)

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Fund - - - 4.9 24.4 12.6 17.1 -19.3 22.9 16.5
Index - - - -4.8 28.9 6.7 27.5 -13.0 18.1 25.3

Annual Performance (%) As At Quarter End

Q1 2020
-Q1 2021
Q1 2021
-Q1 2022
Q1 2022
-Q1 2023
Q1 2023
-Q1 2024
Q1 2024
-Q1 2025
Fund 30.2 3.8 -4.4 26.1 0.1
Index 44.3 13.3 -5.2 23.9 7.1

Index: MSCI AC World - Net Return. The index is used for comparative purposes only and the fund does not seek to replicate the index.
For additional information on the index and the fund’s inception date, please refer to the monthly report.

Past performance does not predict future returns.

Performance figures are calculated net of investment management fees, administrative fees and all other fees with the exception of sales charges. If taken into account, sales charges would have a negative impact on performance.

TOP 5 HOLDINGS

Company Name Weight (%)
Taiwan Semiconductor Manufacturing 6.1
Linde 5.8
Microsoft 5.4
Johnson & Johnson 5.4
Visa A 5.2

The above equity exposures are provided for information only, are subject to change and are not a recommendation to buy or sell the securities.

Past performance does not predict future returns.

Breakdowns based on Comgest data, GICS sector and MSCI country classifications.

Past performance does not predict future returns.

1Y 5Y
1 year performance scenario
Jun-2024 Aug-2024 Sep-2024 Oct-2024 Nov-2024 Jan-2025 Feb-2025 Mar-2025 Apr-2025
Favourable performance scenario 30.2% 30.2% 30.2% 30.2% 30.2% 30.2% 30.2% 30.2% 30.2%
Moderate performance scenario 12.2% 12.2% 12.2% 12.6% 12.6% 12.6% 12.6% 12.6% 12.6%
Unfavourable performane scenario -19.3% -19.3% -19.3% -19.3% -19.3% -19.3% -19.3% -19.3% -19.3%
Stressed performance scenario -69.1% -69.1% -69.0% -69.0% -69.0% -69.0% -54.3% -42.8% -49.1%
5 year performance scenario
Jun-2024 Aug-2024 Sep-2024 Oct-2024 Nov-2024 Jan-2025 Feb-2025 Mar-2025 Apr-2025
Favourable performance scenario 15.7% 15.7% 15.7% 15.7% 15.7% 15.7% 15.7% 15.7% 15.7%
This type of scenario occurred for an investment between the following years
Dec-2016
Dec-2021
Dec-2016
Dec-2021
Dec-2016
Dec-2021
Dec-2016
Dec-2021
Dec-2016
Dec-2021
Dec-2016
Dec-2021
Dec-2016
Dec-2021
Dec-2016
Dec-2021
Dec-2016
Dec-2021
Moderate performance scenario 10.6% 10.3% 10.3% 10.2% 10.1% 10.0% 10.0% 10.1% 10.1%
This type of scenario occurred for an investment between the following years
Feb-2019
Feb-2024
Jan-2019
Jan-2024
Jun-2015
Jun-2020
Dec-2018
Dec-2023
Jul-2015
Jul-2020
May-2017
May-2022
May-2017
May-2022
May-2019
May-2024
May-2019
May-2024
Unfavourable performane scenario 2.7% 2.5% 2.6% 2.1% 2.9% 3.4% 1.9% 0.0% -0.6%
This type of scenario occurred for an investment between the following years
Dec-2021
Jun-2024
Dec-2021
Aug-2024
Dec-2021
Sep-2024
Dec-2021
Oct-2024
Dec-2021
Nov-2024
Jan-2024
Jan-2025
Feb-2024
Feb-2025
Mar-2024
Mar-2025
Mar-2024
Apr-2025
Stressed performance scenario -19.9% -19.9% -19.9% -19.9% -19.9% -15.9% -15.5% -15.3% -15.3%

What you will get from this product depends on future market performance. Market developments in the future are uncertain and cannot be accurately predicted.
The unfavourable, moderate, and favourable scenarios shown are illustrations using the worst, average, and best performance of the product  and/or, in case of insufficient track record, a comparable share class or benchmark, over the last 10 years. The scenarios shown are illustrations based on results from the past and on certain assumptions.
The scenarios presented are an estimate of future performance based on evidence from the past on how the value of this investment varies, and are not an exact indicator. What you will get will vary depending on how the market performs and how long you keep the product. The figures do not take into account your personal tax situation, which may also affect how much you get back.
The figures shown include all the costs of the product itself, but may not include all the costs that you pay to your advisor or distributor. The figures do not take into account your personal tax situation, which may also affect how much you get back.
The stress scenario shows what you might get back in extreme market circumstances.

INVESTMENT TEAM

VIEW FULL TEAM

Laure Négiar joined Comgest in 2010 and is an Analyst and Portfolio Manager specialising in Global equities. She is also the Global Equity Team manager.

Laure co-manages Comgest's Global and EAFE (Global ex-US) strategies as well as the team’s segregated accounts. Before joining Comgest, she worked at BNP Paribas Equities & Derivatives in Paris and London, and prior to that worked in several roles within the US government.

Laure obtained a Bachelor’s degree in Public Policy from Stanford University (with Honours and Phi Beta Kappa) before graduating on the Dean's list with an MSc in Management from the HEC business school in France. She is also a CFA® charterholder.

Zak Smerczak joined Comgest in 2016 and is an Analyst and Portfolio Manager specialising in Global equities. He is also a member of the Comgest Group's Investment Committee.

Zak started his career in 2006 at Deloitte in London, initially in Assurance & Advisory Services before moving to Transaction Services where he was responsible for operational and financial due diligence. In 2011, Zak joined Mirabaud Asset Management where he worked as an Analyst covering global equities. In 2015, he moved to Polar Capital Holdings where he held the position of Analyst / Portfolio Manager for the firm’s global multi-asset income strategy.

Zak holds a Bachelor of Business Science Degree with Honours in Finance from the University of Cape Town. He is a CFA® charterholder and has been a member of the Institute of Chartered Accountants of Scotland since 2009.

Alexandre Narboni joined Comgest in 2009 and is an Analyst and Portfolio Manager specialising in Global equities. He is also a member of the Comgest Group's Investment Committee.

Alexandre is also responsible for developing and supervising Comgest’s Flex strategies, the firm's first investment strategies to employ hedging techniques with the objective of reducing volatility and drawdowns. He previously worked in the Group’s US equity team. Before joining Comgest, he worked in New York in asset-backed securities at Société Générale from 2005-2007 and then as a hedge fund credit Analyst at HSBC.

Alexandre graduated from the National School of Statistics and Economic Administration (ENSAE) in Paris and Columbia University in New York where he was awarded a Master’s degree in Financial Mathematics.

Investment Team listed above may include advisors from affiliates within the Comgest Group.

Details

Investment Manager Comgest S.A.
Fund Name COMGEST MONDE
Share Class COMGEST MONDE Z
ISIN Code FR0013290939
Bloomberg Code COMMONZ FP
Share Class Currency EUR
Fund Base Currency EUR
Share Class Distribution Policy Accumulation
Hedged No
UCITS Yes
Share Class Inception Date 13-Dec-2017
Fund Domicile FRANCE
Investment Management Fee 1.05%
Ongoing charges 1.04%
Maximum entry fee 2.00%
Morningstar Rating


31-Mar-2025


Morningstar Category: EAA Fund Global Large-Cap Growth Equity


Number of Funds in Category: 3205

The Morningstar Rating™ is an objective, quantitative measure of a fund's historical risk-adjusted performance relative to other funds in its category. The overall rating is a weighted combination of the three-, five- and ten-year ratings. The top 10% of funds will receive a 5-star rating and the next 22.5% receive a 4-star rating.

©2025 Morningstar, Inc.

All rights reserved. Ratings and awards mentioned in this document can change at any time and do not constitute a buy recommendation.

 

Comgest

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