ALQUITY GLOBAL IMPACT FUND

CLASSIFICATIONS

Asset Class:  Equity

Region:  Global

INVESTMENT OBJECTIVE

The investment objective of the Fund is to deliver sustainable long-term returns by prioritising companies that are ESG leaders and those that provide products and services that are consistent with achieving the UN Sustainable Development Goals (UN SDGs). The Fund excludes companies with business in tobacco, alcohol, soft drinks, adult entertainment, gambling, civilian firearms or weapons, fossil fuels, non-renewable utilities, resource-intensive construction materials and fast fashion.

R class USD R class GBP
Launch Date 15th April 2024 29th January 2021
ISIN LU1730018279 LU1049765818
Sedol Code BSNXL08 BLBN714
Bloomberg Ticker ALQLARU ALQLARG
Base Currency USD USD
Dealing Frequency Daily Daily
Y class USD Y class GBP Y class EUR
Launch Date 5th February 2021 29th January 2021 29th January 2021
ISIN LU1070051021 LU1070051294 LU1070051377
Sedol Code BD06GJ9 BTJRGQ2 BD06GN3
Bloomberg Ticker ALQLAYU ALQLAGY ALQLAEY
Base Currency USD USD USD
Dealing Frequency Daily Daily Daily

ALQUITY

Alquity believes the key to generating long-term alpha for its clients lies in its distinctive approach to Emerging Markets equities: multi-cap portfolios, a long-term horizon, conviction investing underpinned by a solid risk framework, and a deep focus on domestic growth themes across Emerging Markets. Alquity is a founder-led boutique firm with decades of EM experience and a passion for uncovering quality growth companies. Alquity’s investment philosophy is built on rational sustainability – ESG is integral to how Alquity invests, especially Governance, because strong stewardship mitigates risks and drives long-term returns. Moreover, Alquity channels 10% of its revenues to initiatives and social enterprises in developing regions, fostering a better, more inclusive society for all stakeholders.

PORTFOLIO MANAGER

Marnie UY (Head of Quantitative Risk)

Marnie joined Alquity in 2019 and is a Senior Investment Professional with more than 20 years of experience in investment management, focusing on quantitative research, risk management, portfolio construction and the risk-return optimisation of investment strategies.

Marnie spent over 15 years at Aberdeen Standard Investments as Global Head of Quantitative Analytics. She holds a Bachelor of Science from the University of the Philippines Diliman and a Masters of Engineering from Cornell University.

VAM Fund's Literature

Access the Fund’s fact sheets and sales aids

VAM Fund's Price and Performance

Access the Fund’s price and performance data