FairHorizon Orange
O20-A

FI Institutional Global Equity Selection Fund

Global developed and emerging market large cap-biased equities. Active top-down focused strategy.

About the Fund

Data as of

Fisher Investments is a private US-based asset management firm founded in 1979 by Ken Fisher, a well known innovator and author in investment theory, and a fundamental believer in capitalism and free capital markets. Fisher Investments manage over US$380bn of assets globally, focusing on private and institutional clients.

The FI Institutional Global Equity Selection Fund is an actively managed fund seeking to outperform the MSCI ACWI Index. The fund invests in global developed and emerging markets equities with no market cap or currency constraints, and can invest up to 20% in countries not represented within MSCI ACWI Index. The fund adopts a top-down investment strategy to determine which countries, sectors and equities are most likely to generate the highest expected returns relative to their categories based upon fundamental research, that aims to discover unique sources of information and enable the fund to exploit inefficiencies uncovered through unique analysis of widely available information. The fund uses a multitude of economic, political and sentiment indicators to determine country and economic sector allocations and their risk and return expectations. ESG evaluation is integrated throughout the investment process. The fund has >90 holdings.

Performance

Price Performance – Maximum Period

The FairHorizon Context

Investment-Time-Horizon in years

0 - 22 - 44 - 7 7 - 1010 - 1515+
Expected long-term return
2 - 4% p.a.
Expected volatility
3 - 5% p.a.

Building Block Returns

FI Institutional Global Equity Selection Fund

Ann. return (3-year):
23.34%
Ann. return (5-year):
12.43%
Ann. return (10-year):
Ann. Standard Deviation (5-year):
17.43%

This fund represents active exposure to global developed and emerging markets large cap-biased equities.

Benchmark Returns

SPDR MSCI All Country World UCITS ETF

Ann. return (3-year):
19.93%
Ann. return (5-year):
10.65%
Ann. return (10-year):
12.24%
Ann. Standard Deviation (5-year):
14.33%
Link to the Funds FairSheet

FairHorizon Benchmark Returns

Dimensional Funds PLC - World Allocation 80/20 Fund

Ann. return (3-year):
15.12%
Ann. return (5-year):
7.92%
Ann. return (10-year):
Ann. Standard Deviation (5-year):
12.44%
Link to the Funds FairSheet

The Dimensional World Allocation 80/20 Fund is our FAIRHORIZON Orange reference benchmark solution that has 80% global developed equities and 20% global investment grade short-to-medium maturity bonds for global defensive equity-like returns and volatility.

SHARING OUR PASSION FOR INVESTMENTS FAIRSHEET  FI Institutional Global Equity Selection Fund  Page 1/2

Why we prefer this fund

Relevance of strategy

This fund represents active exposure to global developed and emerging markets large cap-biased equities.

Manager expertise

Ken Fisher’s investment theory innovations, particular in the equities space, have broadly translated to successful performances through Fisher Investment’s product offerings.

Differentiated portfolio

The fund focuses on a top-down investment approach, prioritising macroeconomic assessment and seeking to find market inefficiencies through unique information analysis.

Historical maximum drawdown & recovery time

Max drawdown (since inception)
-38.35%
Recovery Period
162 Days

Diversification

Top 10 Holdings

  • NVIDIA Corp4.21%
  • Apple Inc3.66%
  • Taiwan Semiconductor Manufactu3.35%
  • Microsoft Corp3.09%
  • Alphabet Inc Class A Common Sh2.71%
  • Eli Lilly & Co2.59%
  • Antofagasta PLC2.04%
  • Amazon.com Inc1.80%
  • ASML Holding NV - Depositary R1.74%
  • Morgan Stanley1.63%

Sectors

  • Financials26.37%
  • Technology22.16%
  • Industrials12.37%
  • Health Care10.71%
  • Communications7.72%
  • Consumer Discretionary6.51%
  • Energy6.13%
  • Consumer Staples5.52%
  • Materials2.05%
  • Others0.47%

Geography

  • U.S.A.53.26%
  • United Kingdom5.33%
  • Spain4.74%
  • China4.53%
  • Japan4.46%
  • France4.02%
  • Italy3.38%
  • Taiwan3.35%
  • Netherlands3.14%
  • Switzerland2.98%
  • Germany2.69%
  • Others8.13%

Frequently asked questions

What is the FI Institutional Global Equity Selection Fund?
The FI Institutional Global Equity Selection Fund is a actively managed fund in the Global Equities - Core asset class, managed by Fisher Investments. Global developed and emerging market large cap-biased equities. Active top-down focused strategy.
What is the FI Institutional Global Equity Selection Fund's FairHorizon classification?
Das Family Office classifies this fund as FairHorizon Orange, meaning it is suitable for investors with a 10–15 years investment horizon. growth-oriented equity allocation
What is the total expense ratio (TER) of the FI Institutional Global Equity Selection Fund?
The FI Institutional Global Equity Selection Fund has a total expense ratio of 0.99% per annum. The maximum recommended portfolio share is 80%.
What is the ISIN of the FI Institutional Global Equity Selection Fund?
The ISIN of the FI Institutional Global Equity Selection Fund share class tracked by Das Family Office is IE00BZ4SV347.
What are the historical returns of the FI Institutional Global Equity Selection Fund?
As of the most recent month-end, the FI Institutional Global Equity Selection Fund has delivered 3-year annualised total return of 23.34%, 5-year annualised total return of 12.43%. Past performance is not indicative of future results.
Is the FI Institutional Global Equity Selection Fund accumulating or distributing?
The tracked share class (USD ACC) is Accumulating — income is automatically reinvested into the fund.
What is the SFDR sustainability classification of the FI Institutional Global Equity Selection Fund?
The FI Institutional Global Equity Selection Fund is classified as Article 8 under the EU Sustainable Finance Disclosure Regulation (SFDR).
When was the FI Institutional Global Equity Selection Fund launched?
The FI Institutional Global Equity Selection Fund was incepted on 2019-05-01.