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Global IP Opportunity Fund  |  Global-Multi Asset-Flexible
41.2620    +0.0108    (+0.026%)
NAV price (ZAR) Tue 19 Nov 2024 (change prev day)


Global IP Opportunity comment - Mar 16 - Fund Manager Comment24 Jun 2016
Within the current macro environment we remain focused on those companies that are adaptive to a very rapidly changing environment and who are able to survive. Those that don..t will unquestionably flounder, with the downside to shareholder value and drawdown risk at asset class level being much greater than many expect. In this context we see companies in the consumer staple, healthcare, technology, consumer discretionary and industrial sectors as the primary drivers of this fund.

We see these industries as demonstrating the sort of earnings power we are looking to invest in. In investing in these industries and the companies chosen for the fund, we look to establish a position in the leading players coupled with positions in stocks within the sector that may have a more specialist focus. The assessment of free cash flow, balance sheet strength and margin stability form an important part of the research process. Our assessment of value is based on the degree to which the market has priced in future growth prospects where our investment horizon is typically the next 12 to 36 months. In terms of geographic diversification, our preference at the moment is the US where we see the Feds policy of accommodative monetary as an underpin to equity values as the economy transitions from central bank support to real earnings.
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