Seeking value throughout worldwide developed and emerging markets

Investment Objective

The Fund’s investment objective is to seek long-term growth of capital.

Investment Process

The Fund invests at least 80% of its total assets in equity securities of companies in the U.S and in developed and emerging countries outside the U.S. The Fund will typically hold between 25 and 35 investments. Equity securities include common stock, preferred and preference stock, depositary receipts and other similar securities.

YTD Return*
+19.19%
Nav*
$11.43, -0.13
Inception
December 15, 2020
Cusip
14951G203
Benchmark
MSCI ACWI
Minimum Investment
$5,000
Sales Charge
None
Gross Expense Ratio
3.34%
Net Expense Ratio
1.10%
*As of August 15, 2023
**Contractual fee waivers are in effect until 1/31/2025.

Research overview

Portfolio managers Joe Gubler and Steve Nguyen discuss fundamental and quantitative research at Causeway.

Portfolio managers

Fundamental Portfolio Manager
Fundamental Portfolio Manager
President
Head of Fundamental Research
Fundamental Portfolio Manager
Chief Executive Officer
Fundamental Portfolio Manager
Fundamental Portfolio Manager
Fundamental Portfolio Manager
Fundamental Portfolio Manager
Fundamental Portfolio Manager
Quantitative Portfolio Manager

Performance

QTD YTD 1 year Since inception
Fund 4.2%22.0%23.4%9.4%
MSCI ACWI 3.7%18.5%13.5%6.5%
QTD YTD 1 year Since inception
Fund 4.2%22.0%23.4%9.4%
MSCI ACWI 3.7%18.5%13.5%6.5%
QTD YTD 1 year Since inception
Fund 4.8%17.1%25.3%8.0%
MSCI ACWI 6.3%14.3%17.1%5.2%
QTD YTD 1 year Since inception
Fund 4.8%17.1%25.3%8.0%
MSCI ACWI 6.3%14.3%17.1%5.2%
202220212020
Fund -11.7%15.8%N/A
MSCI ACWI -18.0%19.0%N/A
Fund
MSCI ACWI
202220212020
-11.7%15.8%N/A
-18.0%19.0%N/A

Portfolio (as of July 31, 2023)

Benchmark: MSCI ACWI
Asset Allocation
Fund
Stocks 97.3%
Cash 2.7%
Fund Characteristics
Fund Benchmark
No. of holdings 25 2934
Weighted avg. market cap (US $MM) $125,435 $403,609
FY2 price/earnings 12.1 15.9
Price/book value 1.9 2.8
Net assets $1,177,376 -
TOP 10 HOLDINGS
Security Country Percent
Alphabet, Inc. United States 6.3%
Fiserv, Inc. United States 5.2%
SK hynix, Inc. South Korea 5.0%
Enel SpA Italy 4.8%
SAP SE Germany 4.8%
TD SYNNEX Corp. United States 4.7%
Carrefour SA France 4.6%
Citigroup, Inc. United States 4.5%
The Walt Disney Co. United States 4.5%
Murata Manufacturing Co. Ltd. Japan 4.4%

A “weighted average” measures a characteristic by the market capitalization of each stock. Price/book ratio is the weighted average of the price/book ratios of all the stocks in a portfolio. The P/B ratio of a company is calculated by dividing the market price of its stock by the company’s per-share book value. The price/earnings ratio is the weighted average of the price/earnings ratios of the stocks in a portfolio. The FY2 P/E ratio is a forward P/E ratio using a next-twenty-four months EPS estimate in the denominator.

Holdings are subject to change.

SECTOR WEIGHTS
Sector Fund Benchmark
Information Technology 34.3% 21.9%
Health Care 16.5% 11.6%
Financials 11.0% 15.6%
Communication Services 10.8% 7.5%
Industrials 7.0% 10.5%
Materials 5.5% 4.6%
Utilities 4.8% 2.7%
Consumer Staples 4.6% 7.2%
Consumer Discretionary 2.7% 11.4%
Energy 0.0% 4.7%
Real Estate 0.0% 2.3%
TOP 10 COUNTRIES
Country Fund Benchmark
United States 47.3% 61.9%
Switzerland 9.7% 2.5%
Italy 9.0% 0.6%
South Korea 7.8% 1.3%
France 7.3% 3.0%
Germany 4.8% 2.1%
Japan 4.4% 5.5%
United Kingdom 3.9% 3.6%
Ireland 3.0% 0.2%
Israel 0.0% 0.2%
Regional Allocation
  • North America 47.3%
  • Europe – other 37.8%
  • Emerging Asia 7.8%
  • Pacific 4.4%

Distributions

Dividends Short-term capital gains Long-term capital gains
2022 $0.0716 $0.0000 $0.0000
2021 $0.1201 $0.6756 $0.0000
2020 $0.0000 $0.0000 $0.0000

Distributions are per share. Distribution amounts are based on gains and losses realized and income earned by the Fund through October 31 (or earlier under certain circumstances).

Documents

Fund information:

Forms: