← iMGP Funds

A quality approach to value investing

Share Class:

The Fund aims to deliver a minimum return of cash (BofaML US 3-MonthTreasury Bill Index +4% p.a.) on a rolling 5 years basis. It may invest at the global level between different types of investment: equities, bonds (incl., but not limited to, for up to 50% in subinvestment bonds and for up to 20% in contingent convertible bonds up to 20%), cash, money market instruments, currencies, as well as commodities, listed and unlisted derivatives. Equity exposure may account for up to 75% of the Fund’s assets. The Fund’s exposure to gold and precious metals is limited to a maximum of 20%, while the exposure to commodities other than gold and precious metals may not exceed 25% of its assets. It may also invest in structured products. Total exposure to emerging markets may not exceed 40% of the Fund’s assets. The Sub-fund promotes environmental and social characteristics but does not have sustainable investment as its objective and is therefore classified as article 8 according to Regulation (EU) 2019/2088 ('SFDR'). The Fund is actively managed, and the Fund’s manager's discretionary powers are not constrained by the index.

06/28/2019

Mixed

Global

USD $0.5 mm as of 12/04/2025

USD

8

Luxembourg SICAV - UCITS

Lower Risk Higher Risk

1 2 3 4 5 6 7

Potential Lower Returns Potential Higher Returns

Lower Risk Higher Risk

1 2 3 4 5 6 7

Potential Lower Returns Potential Higher Returns

USD $516.4

As of 12/04/2025

Asset Class

Mixed

Share Class inception Date

06/28/2019

Benchmark

ISIN

LU1965317263

Registered Locations

AT CH DE ES FR GB IT LU

iMGP was appointed to manage the fund on 06/28/2019. As the performance shown includes that of previous managers, we have added a chart to show performance of the underlying strategy, which we believe is more relevant to investors.

  • Since Strategy Implementation
  • Cumulative
  • Annualized
  • Calendar Year
  • Growth of Investment

* The hypothetical $10,000 investment at fund inception includes changes due to share price and reinvestment of dividends and capital gains. The chart does not imply future performance. Indexes are unmanaged, do not incur fees, expenses or taxes, and cannot be invested in directly.
Performance quoted does not include a deduction for taxes that a shareholder would pay on the redemption of fund shares.

Management Fee

0.70%

Performance Fee

0.00%

Max. Subscrition Fee

0.00%

Max Redemption Fee

1.00%

Minimum Investment . (USD)

$ 0

Document Type

Publication Date

Download

Annual Reports

12/31/2024

DE EN ES FR IT

Factsheets

10/31/2025

EN ES FR

KIIDs

02/12/2025

EN

ManCo PAI Statement Summary

12/31/2023

DE EN ES FR IT DA FI NO PT SE

PRIIP-KIDs

02/12/2025

EN DE FR ES IT

Periodic disclosure

12/31/2024

EN

Pre-contractual disclosure

01/26/2024

FR

Pre-contractual disclosure

05/27/2024

DE ES IT

Pre-contractual disclosure

06/05/2025

EN

Prospectus

03/13/2025

FR

Prospectus

09/26/2025

IT FR ES EN DE

Semi-Annual Reports

06/30/2025

DE EN ES FR

Sustainability-related website disclosures disclosure

10/31/2023

EN