hero-boutique-quality-growth

Quality Growth Boutique

Global equity specialists since 1984

Active, high-conviction investors

Our goal is to deliver to our clients long-term performance driven by stable, high-quality underlying earnings growth, paid for at sensible prices.

To achieve this, we seek to invest in companies with market leading positions and powerful franchises.

Our investment team has consistently followed this approach for the past 40 years.

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In making our investment decisions, we undertake deep, company-by-company research that enables us to bring a clarity of understanding to the long-term market opportunity, susceptibility to competition, management strength and exposure to ESG risk. This is vital to maintain conviction through the bumps and bad headlines over time. Our return goal is built on providing absolute returns that beat the benchmark while exposing our investors to less risk through the economic cycle.

We actively manage our portfolios and are benchmark-agnostic.

As a fiduciary, we put our investors' interests above our own, making every effort to be a partner who understands our clients' needs and objectives.

25 bn , , 1984 3
 

Quality Growth Businesses

Seek to identify highly-profitable companies with consistent earnings growth, stable franchises and solid fundamentals. Global growth companies that perform well during economic expansions and tend to be resilient in difficult market environments.

 

ESG Integrated

Sustainability is a core strength required by long-term investors. Management choices towards the company’s stakeholders and the environment can have significant impact on a business. We engage managements on ESG issues.

 

Independent View

As bottom-up investors, a benchmark does not influence where we invest – but we are cognizant of how our portfolios compare to the broader universe.

 

Long-term Focus

Aim to compound earnings at a higher rate than the market over a full market cycle, with lower volatility.

 

Sensible Price

A conservative measure of value, with a margin of safety built into the earnings forecast.

 

Downside Protection

We strive to position our portfolios to participate in rising markets, but also protect capital in difficult market conditions. We believe that minimizing losses during market downturns has been the key to compounding client returns.

Our specialists

Originating from various countries and speaking many languages, our skilled and experienced global equity research team is passionate about bottom-up, fundamental research. Our investigative analysts dig deeper to help quantify risk and encourage debate. Thinking and investing like business owners, we naturally deviate from consensus views and benchmark weights. We build concentrated portfolios with low turnover from year to year. Our long team tenure – more than a decade on average – is particularly valuable as it enables us to develop a deep understanding of the businesses we cover over time.

 

Our Portfolio Managers 

First and foremost, our portfolio managers conduct bottom-up, intensive stock research. They collaborate with research analysts and traders on valuations and sizing of positions. Ultimately, portfolio managers make all final decisions regarding purchases and sales.

Our Client Portfolio Managers 

Experts on both the markets and Vontobel's strategies, Client Portfolio Managers (CPMs) serve as the client's window to portfolio managers and research analysts. They are responsible for communicating the firm’s philosophy, process, performance, portfolio positioning and risk management.

Our Research Analysts 

Research analysts generate the best investment ideas in their individual sectors across the globe, by analyzing, among other metrics, a company's past performance, underlying business model, accounting issues, management track record, and ability to sustain earnings growth.

Our Traders 

Our trading desk spends their time handling the execution and implementation of portfolio managers' buy/sell decisions. The trading desk is located in New York City, and runs 24 hours a day to encompass all global markets and address all trading requirements in real time.

Our philosophy

We believe that the earnings growth of an underlying business will ultimately be reflected in its stock price. Since genuine high quality businesses are scarce, our research team focuses on identifying those names that we believe can sustain superior earnings growth longer and are underappreciated by the markets. We believe that we can take advantage of this long-tail growth effect and add value for our clients by carefully constructing a portfolio of these types of businesses.

This belief system drives our bottom-up approach. Without the constraint of a benchmark, we start with a universe of investable names that meet our quality criteria. After rigorous research, we then consider the quality companies that, in our opinion, trade at attractive valuations for inclusion into our portfolios. This is a select group of companies, and, as a result, our portfolios are quite concentrated. By adhering to this investment approach, we seek to protect our clients’ assets in declining markets, while growing their assets in rising markets, thus driving superior long-term risk-adjusted returns.

Our process

Our portfolios are built from the bottom-up, company by company. We consistently apply the same disciplined approach across all strategies.

 

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Continuous five-step investment process

  • Concentrate on business analysis (bottom-up approach)
  • Seek high quality growth at sensible prices
  • High conviction portfolio
  • Benchmark unconstrained
  • Long-term focus

“At Vontobel, our primary focus has always been on absolute risk. Our risk management approach is embedded in our investment process and is based on a common sense view that risk primarily lies in the underlying businesses in which we invest. We further control risk by meaningfully diversifying the earnings streams of our holdings.”

Igor Krutov, Director of Research

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Our offering

6 funds available
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Vontobel Fund - Asia ex Japan
View 9 share classes
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Asia Equities Quality Growth Boutique
Share class Currency ISIN Valor NAV YTD As at
A USD LU0084450369 634792 407.70 3.80% 4 Nov 2024
AN USD LU1683484288 38261468 100.55 4.53% 4 Nov 2024
B USD LU0084408755 634794 484.04 3.80% 4 Nov 2024
C USD LU0137007026 1301471 190.75 3.27% 4 Nov 2024
H (hedged) EUR LU0218912409 2143010 153.10 2.25% 4 Nov 2024
HI (hedged) EUR LU0368556733 4289822 132.02 3.14% 4 Nov 2024
HN (hedged) EUR LU1683484106 38261467 87.71 2.96% 4 Nov 2024
I USD LU0278091540 2870646 192.84 4.71% 4 Nov 2024
N USD LU0923573769 21256887 140.71 4.53% 4 Nov 2024
Vontobel Fund - Emerging Markets Equity
View 16 share classes
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Emerging Markets Equities Quality Growth Boutique
Share class Currency ISIN Valor NAV YTD As at
A USD LU0040506734 618762 557.14 0.24% 31 Oct 2024
AHI (hedged) EUR LU0858753618 20093377 82.41 -0.42% 31 Oct 2024
AN USD LU1233654372 28256244 94.98 1.16% 31 Oct 2024
B USD LU0040507039 618763 688.83 0.24% 31 Oct 2024
C USD LU0137006218 1301503 175.24 -0.26% 31 Oct 2024
H (hedged) CHF LU0469618119 10765166 77.16 -3.33% 31 Oct 2024
H (hedged) EUR LU0218912235 2143009 155.59 -1.35% 31 Oct 2024
HC (hedged) EUR LU0333249109 3813691 135.65 -1.82% 31 Oct 2024
HI (hedged) EUR LU0368556220 4289807 108.39 -0.44% 31 Oct 2024
HI (hedged) CHF LU0469618382 10765176 99.20 -2.41% 31 Oct 2024
HN (hedged) EUR LU1179463556 26913860 87.07 -0.41% 31 Oct 2024
HN (hedged) CHF LU1683486069 38261775 73.53 -2.45% 31 Oct 2024
I USD LU0278093082 2870698 183.27 1.15% 31 Oct 2024
I GBP LU0787641983 18667507 150.85 0.31% 31 Oct 2024
N USD LU0858753535 20093248 109.51 1.16% 31 Oct 2024
S USD LU0209301448 2035840 372.75 1.78% 31 Oct 2024
Vontobel Fund - European Equity
View 7 share classes
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European Equities Quality Growth Boutique
Share class Currency ISIN Valor NAV YTD As at
A EUR LU0153585053 1473234 358.10 6.22% 31 Oct 2024
AN EUR LU1683482662 38261686 137.81 6.96% 31 Oct 2024
B EUR LU0153585137 1473236 398.30 6.22% 31 Oct 2024
C EUR LU0153585210 1473239 266.36 5.69% 31 Oct 2024
G EUR LU1506585600 34306539 166.95 7.42% 31 Oct 2024
I EUR LU0278085062 2870656 235.27 7.13% 31 Oct 2024
N EUR LU1683480294 38261406 143.08 6.97% 31 Oct 2024
Vontobel Fund - Global Equity
View 20 share classes
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Global Equities Quality Growth Boutique
Share class Currency ISIN Valor NAV YTD As at
A USD LU0218910023 2140205 426.29 9.44% 31 Oct 2024
AHG (hedged) CHF LU2662990873 128790782 110.32 6.68% 31 Oct 2024
AI EUR LU1121575069 25693957 286.06 12.30% 31 Oct 2024
AN USD LU1683485921 38261765 176.85 10.20% 31 Oct 2024
B SEK LU0979498168 22522410 405.67 16.20% 31 Oct 2024
B USD LU0218910536 2140207 445.24 9.44% 31 Oct 2024
C USD LU0218910965 2140211 406.62 8.88% 31 Oct 2024
G USD LU1489322047 33901045 221.39 10.57% 31 Oct 2024
H (hedged) SEK LU0971939599 22340335 200.53 7.44% 31 Oct 2024
H (hedged) EUR LU0218911690 2140210 203.01 7.70% 31 Oct 2024
HC (hedged) EUR LU0333249364 3813702 324.95 7.19% 31 Oct 2024
HI (hedged) CHF LU2243976318 57644342 112.89 6.37% 31 Oct 2024
HI (hedged) EUR LU0368555768 4289761 250.73 8.67% 31 Oct 2024
HN (hedged) CHF LU2277595851 58993771 103.85 6.27% 31 Oct 2024
HN (hedged) EUR LU1550202458 35324119 176.24 8.47% 31 Oct 2024
HS (hedged) CHF LU2090086880 51360787 125.53 7.09% 31 Oct 2024
I GBP LU0824095136 19381737 387.27 9.44% 31 Oct 2024
I USD LU0278093595 2870708 363.92 10.37% 31 Oct 2024
N USD LU0858753451 20093228 296.56 10.20% 31 Oct 2024
S USD LU0571091494 12235870 366.29 11.14% 31 Oct 2024
Vontobel Fund - Global Equity Income
View 7 share classes
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Global Equities Quality Growth Boutique
Share class Currency ISIN Valor NAV YTD As at
A Gross USD LU0129603287 1222584 256.88 6.36% 31 Oct 2024
AQ Gross USD LU1651442953 37575134 126.27 6.36% 31 Oct 2024
B USD LU0129603360 1222595 352.42 6.36% 31 Oct 2024
H (hedged) EUR LU0219097184 2143917 159.37 4.57% 31 Oct 2024
HI (hedged) EUR LU0368556063 4289795 139.38 5.30% 31 Oct 2024
I USD LU0278093322 2870705 177.52 7.12% 31 Oct 2024
N USD LU1683481771 38261773 143.44 7.08% 31 Oct 2024
Vontobel Fund - US Equity
View 13 share classes
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US Equities Quality Growth Boutique
Share class Currency ISIN Valor NAV YTD As at
A USD LU0035763456 607575 1,935.43 10.59% 31 Oct 2024
AI USD LU1506584975 34305866 272.75 11.54% 31 Oct 2024
AN USD LU1683485764 38261795 221.39 11.36% 31 Oct 2024
ANG USD LU1550199050 35323704 257.69 11.80% 31 Oct 2024
B USD LU0035765741 607574 2,419.63 10.59% 31 Oct 2024
C USD LU0137005913 1301480 576.29 10.04% 31 Oct 2024
G USD LU1428951294 32785796 291.61 11.84% 31 Oct 2024
H (hedged) EUR LU0218912151 2143008 365.75 8.94% 31 Oct 2024
HI (hedged) CHF LU0469626211 10768533 224.22 7.63% 31 Oct 2024
HI (hedged) EUR LU0368557038 4289839 476.79 9.84% 31 Oct 2024
HN (hedged) EUR LU1683485848 38261806 188.22 9.70% 31 Oct 2024
I USD LU0278092605 2870679 520.67 11.53% 31 Oct 2024
N USD LU0897674072 20820028 396.80 11.36% 31 Oct 2024

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