Global Equity Fund
SGD Unhedged Acc Class I
Fund Overview
The Mondrian Global Equity Fund (the Fund) aims to achieve long-term total return. Investments will be made mainly in listed securities of companies located in developed countries. The Fund may also invest up to 10% in the securities of emerging markets companies. The Fund’s investment approach focuses on future anticipated dividends and discounts the value of those forecasted dividends back to what they would be worth if they were being received today. The Investment Manager’s general management strategy emphasizes long-term holding of securities, although securities may be sold at the Investment Manager’s discretion without regard to the length of time they have been held.
Investment Philosophy
- A value-oriented, dividend discount methodology that focuses on future anticipated dividends and discounts the value of those dividends back to today’s present value
- An approach that focuses on providing a rate of return meaningfully greater than the client’s domestic rate of inflation
- Client portfolios that seek to preserve capital during protracted global market declines
- Portfolio performance that has been typically less volatile than the MSCI World Index and most other global managers
SGD Unhedged Acc Class I
ISIN
IE000Z1MC2B2
Bloomberg Ticker
MOGEISA
Fund Inc. date
December 29, 2014
Fund Size
USD 40.1 million
Min. Initial Invest.
SGD 180,000
Share Class Inc. date
September 29, 2025
Accum. or Income
Accumulation
Management Fee
0.55%
Management Team
Aileen Gan
CIO Global and International Equities
Paul Thompson
Senior Portfolio Manager
Jonathan R. Spread
Head of Research - USA
James Francken
Senior Portfolio Manager
Charlie Hill
Senior Portfolio Manager
Harry Hewitt
Senior Portfolio Manager
Akhil Hindocha
Portfolio Manager
Performance
Annualized
Calendar Year
Defensive Characteristics
Fund NAV performance returns shown. Past performance of the Share Class is calculated in USD. Performance is calculated after the deduction of ongoing charges and is inclusive of gross income reinvested. The Fund’s investment performance is measured against the MSCI World Index. Past performance is not a guide to future performance. Index returns are shown with net dividends reinvested.
Portfolio
Characteristics
| Characteristic | Mondrian Fund | MSCI World Index |
|---|---|---|
| P/E (trailing 12 months) | 17.8 | 24.0 |
| P/B (trailing 12 months) | 2.3 | 3.9 |
| Price/Cash Flow | 11.3 | 17.0 |
| Dividend Yield (%) | 2.6 | 1.6 |
| Number of Holdings | 46 | 1,320 |
| Weighted Average Market Cap (million, SGD) | 359,745 | 1,210,166 |
| Median Market Cap (million, SGD) | 70,634 | 33,503 |
Source: MSCI and Mondrian
Country Allocation
Sector Allocation
Top 10
News & Insights
Global Equity Investment Outlook – Implications of the Iran Conflict
Video: AI Markets in Transition: Discipline Amid Rapid Expansion
The Economics Beneath the AI Boom
Mondrian Contacts
Europe, the Middle East & Africa
Asia-Pacific

James Lalor
Client Service and Business Development Officer - APAC
Share Class Literature
PRIIP Performance Scenario Archive


