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ISIN IE000KJQOLB0
NAV: -
NAV DATE: -
YTD PERF: -
YTD PERF. DATE: -
Total Net Assets (all classes, m) -
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Weight of top 10 stocks -
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SFDR Article 8
Lower Risk Higher Risk
This indicator represents the Fund’s risk level set out in the Key Information Document. It is not guaranteed and may change during the month.
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.
Cumulative returns shown are monthly returns calculated on the last business day of each month.
Index: S&P 500 - 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.
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 . Past performance has been calculated in USD. As this is a new share class, there is not enough historical data to provide investors with any useful indication of past performance.
Index: S&P 500 - 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.
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.
Favourable performance scenario |
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Moderate performance scenario |
Unfavourable performane scenario |
Stressed performance scenario |
Favourable performance scenario |
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This type of scenario occurred for an investment between the following years |
Moderate performance scenario |
This type of scenario occurred for an investment between the following years |
Unfavourable performane scenario |
This type of scenario occurred for an investment between the following years |
Stressed performance scenario |
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.
Louis Citroën joined Comgest in 2019 and is an Analyst and Portfolio Manager specialising in US equities.
Louis co-leads the management of the US Equity strategy and contributes strongly to idea generation, researching US companies across a broad range of sectors. Prior to joining Comgest, he was an Equity Analyst covering telecoms and media stocks at Arete Research in London for five years. Louis previously worked from 2011 as a Small Cap Equity Analyst at Financière de l’Echiquier and began his career in 2009 as a management consultant at Oliver Wyman in Paris.
He holds a Master’s degree in Management from ESCP Business School (France, UK, Germany) and is a CFA® charterholder.
Francesco Manfredini joined Comgest in 2023 and is an Analyst specialising in U.S. equities.
Francesco contributes to idea generation, researching quality-growth companies across different sectors. Prior to joining Comgest, Francesco was an Analyst and Portfolio Manager for a small- and mid-cap European equity fund and a global flexible fund at Clartan Associés.
Francesco holds Master’s degree in Economics and Business from Sciences Po Paris (France) and a Bachelor’s degree in Economics and Finance from Bocconi University (Italy).
Investment Team listed above may include advisors from affiliates within the Comgest Group.
Investment Manager | Comgest Asset Management International Limited |
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Sub Investment Manager | Comgest S.A. |
Management company | None / Comgest Growth plc is self-managed |
Fund Name | COMGEST GROWTH AMERICA ESG PLUS |
Share Class | COMGEST GROWTH AMERICA ESG PLUS USD ACC |
ISIN Code | IE000KJQOLB0 |
Bloomberg Code | IE000KJQOLB0 |
Share Class Currency | USD |
Fund Base Currency | USD |
Share Class Distribution Policy | Accumulation |
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Hedged | No |
UCITS | Yes |
Share Class Inception Date | Awaiting Seeding |
Fund Domicile | IRELAND |
Investment Management Fee | 1.50% |
Ongoing charges | 1.60% |
Maximum entry fee | 4.00% |