Vontobel Fund - Global Equity Income

Quality Growth Boutique Global Equities
ISIN
LU0129603287
Valor
1222584
Sedol
B01SYF5
CUSIP
L9679C218
314.88
NAV
As at 27 Aug 2026
11.52%

Investment objective
This actively managed equity fund aims to achieve the highest possible total return in US dollars, combining steady income and capital growth.


Key features
While respecting risk diversification, the fund invests primarily in global equities, equity-like transferable securities, participation certificates, and depositary receipts of high-quality companies that offer potential for relatively high long-term earnings growth and above-average profitability, with a focus on dividend payers. It may hold concentrated positions in individual companies or industries. It uses its benchmark for performance comparison. The investment team has full discretion.


Approach
The investment team implements its Quality Income and Growth strategy based on in-depth company research. It considers specific sustainability criteria in assessing potential investments, promoting environmental and/or social characteristics. It dynamically adjusts portfolio positions, striving to participate when markets rise and protect capital when they fall.

Insights

All data is as at 31 Jul 2026 unless otherwise indicated.

Historical performance (net return %)

Cumulative performance

1M YTD 1Y 3 yrs p.a. 5 yrs p.a. Since Inception
A Gross USD 3.8% 10.4% 20.0% 11.7% 7.2% 105.2%
Benchmark 0.1% 11.3% 22.1% 18.3% 10.8% 212.8%

Performance for calendar years

2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
A Gross USD 22.7% 1.5% 10.2% -9.3% 12.8% 4.4% 17.9% -11.9% 22.2% NA
Benchmark 22.3% 17.5% 22.2% -18.4% 18.5% 16.3% 26.6% -9.4% 24.0% NA

Portfolio characteristics

Portfolio Benchmark
Volatility 11.5% 12.2%
Sharpe Ratio 0.6
Information Ratio negative
Tracking error 8.2%
Beta 0.7
Active Share (country, issuer, ISIN) 47% / 92% / 93%
[3 years annualized]

Since fund inception until 31.12.2016, the fund had different characteristics and performance was achieved under circumstances that no longer apply. 

Past performance is not a reliable indicator of current or future performance. Performance data does not take into account any commissions and costs charged when shares of the fund are issued and redeemed, if applicable. The return of the fund may go down as well as up, e.g. due to changes in rates of exchange between currencies. The value of the money invested in the fund can increase or decrease and there is no guarantee that all or part of your invested capital can be redeemed.

All data is as at 27 Aug 2026 unless otherwise indicated.

Fund data
Portfolio Manager Ramiz Chelat/Igor Krutov
Fund Domicile Luxembourg
Fund Currency USD
Share Class Currency USD
Risk Level 5.00 (24 Aug 2026)
Year End 31 August
Benchmark MSCI All Country World Index TR net
Share Class Launch Date 12 Jun 2001
Distribution Type Distributing
Last distribution 8.90 (24 Nov 2025)
Swing Pricing Eligible Yes
SFDR Classification Article 8
Fund Registrations AT, CH, DE, ES, FI, FR, GB, IT, LI, LU, NL, NO, PT, SE, SG
Share Class Registrations AT, CH, DE, ES, FI, FR, IT, LI, LU, NO, SE, SG
Nav Information
Highest since launch 317.23
Lowest since launch 71.25
Fund size in mln. USD 25.39
Share class size in mln. USD 1.38
Fees And Expenses
Management Fee 1.50%
Max Management Fee 1.65%
TER* 2.11% (28 Feb 2026)
OCF 2.11% (28 Feb 2026)
Luxembourg Taxe d Abonnement 0.05%
Identifiers
ISIN LU0129603287
CUSIP L9679C218
Valor 1222584
Bloomberg VONGEUS LX
SEDOL B01SYF5
WKN 796575
Parties
Investment Manager Vontobel Asset Management Inc., New York
Depositary State Street Bank International GmbH (Luxembourg Branch)
Management Company Vontobel Asset Management SA, Luxembourg
Swiss Paying Agent Bank Vontobel AG
Swiss Representative Vontobel Fonds Services AG

Available Share Classes

Share class Currency ISIN Distrib. Type Launch date Management Fee TER*
A Gross USD LU0129603287 Distributing Retail 12 Jun 2001 1.50% 2.11% (28 Feb 2026)
AQ Gross USD LU1651442953 Distributing Retail 18 Aug 2017 1.50% 2.11% (28 Feb 2026)
B USD LU0129603360 Accumulating Retail 12 Jun 2001 1.50% 2.11% (28 Feb 2026)
H (hedged) EUR LU0219097184 Accumulating Retail 23 Dec 2005 1.50% 2.14% (28 Feb 2026)
HI (hedged) EUR LU0368556063 Accumulating Institutional 10 Jun 2008 0.75% 1.30% (28 Feb 2026)
I USD LU0278093322 Accumulating Institutional 13 Jul 2007 0.75% 1.27% (28 Feb 2026)
N USD LU1683481771 Accumulating Retail 2 Oct 2017 0.75% 1.31% (28 Feb 2026)

Subject to change, without notice, only the current prospectus or comparable document of the fund is legally binding.

* TER includes performance fee where applicable

All data is as at 31 Jul 2026 unless otherwise indicated.

Country Weighting

Major Sectors

View all documents View latest documents

Document Date DE EN ES FR IT
Factsheets & Commentaries
Factsheet Jul 2026
Factsheet Jun 2026
Factsheet May 2026
Factsheet Apr 2026
Factsheet Mar 2026
Factsheet Feb 2026
Factsheet Jan 2026
Factsheet Dec 2025
Factsheet Nov 2025
Factsheet Oct 2025
Factsheet Sep 2025
Factsheet Aug 2025
Factsheet Jul 2025
Factsheet Jun 2025
Factsheet May 2025
Factsheet Apr 2025
Factsheet Mar 2025
Monthly Commentary Jul 2026
Monthly Commentary Jun 2026
Monthly Commentary May 2026
View more Factsheets & Commentaries View less Factsheets & Commentaries
PRIIPs KIDs
Key Information Document (KID) Jul 2026
Legal Documents
AGM EGM invitation Jan 2026
Articles of Association Apr 2016
Notification to Investors Jun 2026
Notification to Investors Dec 2025
Notification to Investors Aug 2025
Notification to Investors Apr 2025
Notification to Investors Dec 2024
Notification to Investors Oct 2024
Notification to Investors Sep 2024
Notification to Investors Jun 2024
Notification to Investors May 2023
Notification to Investors Nov 2022
Notification to Investors Jan 2022
Notification to Investors Sep 2021
Notification to Investors Jul 2021
Notification to Investors May 2021
Notification to Investors Mar 2021
Notification to Investors Feb 2021
Notification to Investors Nov 2019
Sales Prospectus Jul 2026
View more Legal Documents View less Legal Documents
Sustainability Related Disclosures
Exclusion Framework Jan 2026
Periodic Disclosure Aug 2025
Pre-contractual Disclosure Jul 2026
Statement on principal adverse impacts of investment decisions on sustainability factors Jun 2026
Sustainability Related Disclosures Jan 2026
Swiss Climate Scores Jul 2026
Financial Reports
Annual Distribution Nov 2025
Annual Distribution Nov 2024
Annual Report Aug 2025
Distribution Dates Jan 2026
Quarterly Distribution Jun 2026
Quarterly Distribution Mar 2026
Quarterly Distribution Dec 2025
Quarterly Distribution Sep 2025
Quarterly Distribution Jun 2025
Quarterly Distribution Mar 2025
Quarterly Distribution Dec 2024
Quarterly Distribution Sep 2024
Quarterly Distribution Jun 2024
Quarterly Distribution Mar 2024
Semi-Annual Report Feb 2026
Semi Annual Distribution Apr 2026
Semi Annual Distribution Apr 2025
Semi Annual Distribution Apr 2024
Semi Annual Distribution Apr 2023
View more Financial Reports View less Financial Reports
Dealing Information
Holiday Calendar 2026 Jan 2026
List of Active Retail Share Classes Jan 2025
Policies
Sanctioned Countries Oct 2022
Shareclass Naming Convention Jan 2026

RISKS

When seeking to achieve its investment objective the Sub-Fund is subject to General Risks, to Investment Fund Risks, to Investment Management Risks and to Other Risks. Investing in the Sub-Fund implies the following risk factors which are described in detail in the section Risk Factors of the Sales Prospectus.

Investment Fund Risks

  • There is no guarantee that the fund will achieve its investment objective or that you will get back the amount you originally invested.

  • The value of your investment can go up or down in response to changes in economic conditions, interest rates, exchange rates, or company creditworthiness. Events such as pandemics, wars, or natural disasters can cause significant and unpredictable market disruptions worldwide.

  • If a key service provider (such as the investment manager or depositary) fails or becomes insolvent, this could cause delays in processing your transactions or result in financial losses for the fund.

  • In difficult market conditions, it may not be possible to sell certain investments quickly or at a fair price, which could mean the fund is unable to meet your redemption request promptly or may have to apply tools such as temporary restrictions on withdrawals.

Investment Management Risks

  • Shares in companies can fall in value at any time, and there is no guarantee of returns; while equities have historically offered higher long-term returns, they also carry higher short-term risk.

  • REITs can fall in value due to declining property prices, rising interest rates, increased operating costs, or poor management quality. These factors directly reduce the value of the underlying real estate and therefore the REIT securities held by the fund

  • Derivatives such as options, futures, and swaps can magnify gains but also amplify losses, and if used incorrectly or in unfavourable market conditions could result in substantial or total loss. There is also a risk that the counterparty to a derivative contract defaults on its obligations, further increasing potential losses.

  • Investing in emerging markets carries greater risks than developed markets, including less stable governments, weaker regulatory oversight, lower liquidity, and restrictions on moving money in and out of the country. These factors can result in significant price swings and potential losses.

  • When the fund invests in assets denominated in a different currency to the fund's reference currency, movements in exchange rates can increase or decrease the value of your investment independently of how the underlying assets perform. Not all currency exposure may be hedged.

  • Applying ESG (environmental, social, and governance) criteria may cause the fund to avoid certain investments or sectors, which could positively or negatively affect performance compared to funds that do not apply such criteria. ESG data from third parties may be incomplete or inaccurate, and there is no universally agreed standard for what qualifies as a sustainable investment.

Other Risks

  • Environmental, social, or governance events (such as climate change, social controversies, or poor corporate governance) can negatively impact the value of the fund's investments. 

Any of these risks could cause a Sub-Fund to lose money, to perform less well than similar investments, to experience high volatility of the Share price, or to fail to meet its investment objective over any period of time. It cannot be guaranteed that the investor will recover the capital invested. 

Subject to change, without notice, only the current prospectus or comparable document of the fund is legally binding.


 

Neither the Sub-Fund, nor the Management Company nor the Investment Manager make any representation or warranty, express or implied, with respect to the fairness, correctness, accuracy, reasonableness or completeness of an assessment of ESG research and the correct execution of the ESG strategy.

Any index or supporting data referred to is the intellectual property (including registered trademarks) of the applicable licensor. Any product based on an index is in no way sponsored, endorsed, sold or promoted by the applicable licensor and it shall not have any liability with respect thereto. Refer to vontobel.com/terms-of-licenses for more details.

Morningstar rating: © 2026 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.