Nedgroup Investments Global Emerging Markets Equity Fund

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Investor profile

The Sub-Fund’s objective is to provide investors with long term capital growth through investment primarily in equity and equity related securities issued by companies domiciled in or whose principal business activities are conducted in emerging markets countries with no particular industry or geographical focus. The Sub-Fund may also invest from time to time on an opportunistic basis in countries which are considered as frontier or developed markets to a maximum of 15% in aggregate.

Risk profile

Medium to high

 medium to high risk

The greater the amount of risk an investor is willing to take on the greater the potential return.

Appropriate term

Minimum 5 to 7 years

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Benchmark

The aim of the portfolio is to outperform the MSCI Emerging Market Index (NR USD)

Dealing frequency

Daily

Settlements

Subscriptions:T+2
Redemptions:T+3

Investment manager

Founded in 1988, NS Partners Ltd is an investment manager based in London, England providing investment management services to pension funds, foundations mutual funds and private clients around the world. The firm was originally formed as the international investment management arm for the Bank of America and began managing US institutional assets in 1981.

In July 2011 NS Partners became part of the Connor, Clark & Lunn Financial Group Ltd. (CCL), a multi-boutique investment management firm with over $71 billion under management through its affiliated investment managers. NS Partners had been a sub-advisor for a CCL international equity fund and had an ongoing relationship with the group since 1990.

CC&L Financial Group's multi-boutique structure provides us with high-quality operational expertise that enables us to focus on what we do best – creating value-added global equity portfolios for our clients.

NS Partners Ltd is authorised and regulated by the UK Financial Conduct Authority. FRN: 141667.

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Fees (excluding VAT)

Portfolio management fees
Annual

A 1.5%

C 1.0%

D 0.75%

E 0.00%

Multi-Asset funds

Multi-asset funds aim to provide investors with moderate levels of income and capital growth (at moderate levels of capital volatility), by investing in a range of different asset classes. These funds are often appropriate for investors with medium to longer investment horizons.

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Equity funds

Equity funds aim to provide investors with high levels of capital growth (at high levels of volatility) by investing in listed equities. These portfolios are often appropriate for investors with longer investment horizons.

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Multi-Manager Funds

Our International Multi-Manager range comprises the Growth MultiFund, the Balanced MultiFund and the Income MultiFund managed on a fund-of-fund basis; each is available in US dollars or sterling. Shares in each sub-fund are accumulating, with the Income MultiFund also having a distributing share class. Three fee classes are available, a lower fee class being available to clients with larger amounts of money to invest; a "clean" class is also included.

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