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R53-A

FI Institutional US Equity Selection Fund

US large cap-biased equities. Active top-down and bottom-up strategy.

Über den Fonds

Daten zum

Fisher Investments is a private US-based asset management firm founded in 1979 by Ken Fisher, a well known innovator and author in investment theory, and a fundamental believer in capitalism and free capital markets. Fisher Investments manage over US$380bn of assets globally, focusing on private and institutional clients.

The FI Institutional US Equity Selection Fund is an actively managed fund seeking to outperform the S&P 500 Index, by investing in US equities with no sector or market cap constraints. The fund adopts a combined top-down and bottom-up approach to discover securities most likely to generate the highest expected returns, by focusing on identifying the economic sectors and industries most likely to outperform vs the benchmark, the style characteristics (market cap and growth vs value) most likely to outperform vs the benchmark, and the securities most likely to beat its peers within a particular category. Specifically for the bottom-up stock selection approach, the fund also looks for competitive advantage, attribute execution analysis, relative valuation, operational risk assessment, and the firm’s forecasted macroeconomic impacts. ESG considerations are embedded within the investment process. The fund has >60 holdings.

Wertentwicklung

Preisentwicklung – Maximaler Zeitraum

Das FairHorizont-Konzept

Anlagezeithorizont in Jahren

0 - 22 - 44 - 7 7 - 1010 - 1515+
Erwartete Langfristrendite
2 - 4% p.a.
Erwartete Volatilität
3 - 5% p.a.

Bausteinrenditen

FI Institutional US Equity Selection Fund

Ann. Rendite (3 J.):
25.19%
Ann. Rendite (5 J.):
14.88%
Ann. Rendite (10 J.):
Ann. Standardabweichung (5 J.):
19.88%

This fund represents active exposure to US large cap-biased equities.

Benchmark-Renditen

Vanguard S&P 500 UCITS ETF

Ann. Rendite (3 J.):
23.46%
Ann. Rendite (5 J.):
13.82%
Ann. Rendite (10 J.):
15.29%
Ann. Standardabweichung (5 J.):
15.16%
Link zum Fonds-FairSheet

FairHorizont-Benchmark-Renditen

Dimensional Funds PLC - World Equity Fund

Ann. Rendite (3 J.):
20.42%
Ann. Rendite (5 J.):
9.89%
Ann. Rendite (10 J.):
Ann. Standardabweichung (5 J.):
15.01%
Link zum Fonds-FairSheet

The Dimensional World Equity Fund is our FAIRHORIZON Red reference benchmark solution that has primarily global developed equities for long-term global equity-like returns and volatility.

MIT LEIDENSCHAFT FÜR INVESTMENTS FAIRSHEET  FI Institutional US Equity Selection Fund  Seite 1/2

Warum wir diesen Fonds bevorzugen

Relevance of strategy

This fund represents active exposure to US large cap-biased equities.

Manager expertise

Ken Fisher’s investment theory innovations, particular in the equities space, have broadly translated to successful performances through Fisher Investment’s product offerings.

Differentiated portfolio

The fund combines top-down macroeconomic assessment and bottom-up stock selection investment approach.

Historischer maximaler Drawdown & Erholungszeit

Max. Drawdown (seit Auflage)
-34.85%
Erholungsperiode
475 Tage

Diversifizierung

Top 10 Positionen

  • NVIDIA Corp7.49%
  • Apple Inc6.17%
  • Alphabet Inc Class A Common Sh5.43%
  • Microsoft Corp5.09%
  • Amazon.com Inc3.62%
  • Goldman Sachs Group Inc/The Co3.00%
  • JPMorgan Chase & Co2.66%
  • American Express Co2.36%
  • Citigroup Inc2.22%
  • ATI Inc2.12%

Sektoren

  • Technology27.83%
  • Financials21.47%
  • Industrials15.65%
  • Health Care10.19%
  • Consumer Discretionary10.04%
  • Communications7.26%
  • Energy3.96%
  • Consumer Staples1.93%
  • Materials1.13%
  • Cash0.54%

Geographie

  • U.S.A.97.96%
  • Ireland1.49%
  • Cash0.54%

Häufig gestellte Fragen

What is the FI Institutional US Equity Selection Fund?
The FI Institutional US Equity Selection Fund is a actively managed fund in the US Equities - Core asset class, managed by Fisher Investments. US large cap-biased equities. Active top-down and bottom-up strategy.
What is the FI Institutional US Equity Selection Fund's FairHorizon classification?
Das Family Office classifies this fund as FairHorizon Red, meaning it is suitable for investors with a 15+ years investment horizon. long-horizon, high-conviction equity allocation
What is the total expense ratio (TER) of the FI Institutional US Equity Selection Fund?
The FI Institutional US Equity Selection Fund has a total expense ratio of 0.73% per annum. The maximum recommended portfolio share is 50%.
What is the ISIN of the FI Institutional US Equity Selection Fund?
The ISIN of the FI Institutional US Equity Selection Fund share class tracked by Das Family Office is IE00BYVJ8M18.
What are the historical returns of the FI Institutional US Equity Selection Fund?
As of the most recent month-end, the FI Institutional US Equity Selection Fund has delivered 3-year annualised total return of 25.19%, 5-year annualised total return of 14.88%. Past performance is not indicative of future results.
Is the FI Institutional US Equity Selection Fund accumulating or distributing?
The tracked share class (Acc USD) is Accumulating — income is automatically reinvested into the fund.
What is the SFDR sustainability classification of the FI Institutional US Equity Selection Fund?
The FI Institutional US Equity Selection Fund is classified as Article 8 under the EU Sustainable Finance Disclosure Regulation (SFDR).
When was the FI Institutional US Equity Selection Fund launched?
The FI Institutional US Equity Selection Fund was incepted on 2019-10-08.