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SKAGEN Global is a long-only global equity strategy which aims to generate long-term capital growth. The fund is managed by Knut Gezelius and Chris-Tommy Simonsen.

Read more about the fund’s investment strategy and portfolio characteristics

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Last updated:
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Benchmark data is currently unavailable. Returns over 12 months are annualised.

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Knut Gezelius

Portfolio Manager
SKAGEN Global

Chris-Tommy Simonsen

Portfolio Manager/Trader
SKAGEN Global
Geographic distribution of investments

34.53 %

Financials

22.06 %

Information Technology

12.49 %

Industrials

9.13 %

Health Care

7.75 %

Consumer Discretionary

5.55 %

Communication Services

4.24 %

Consumer Staples

2.73 %

Liquid assets

1.51 %

Utilities

as of 31/01/2020 - 41.47 % of all investments

5.99 %

Microsoft

5.48 %

4.39 %

4.19 %

4.12 %

3.73 %

3.56 %

3.52 %

3.48 %

All investments
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Historical returns are no guarantee for future returns. Future returns will depend, inter alia, on market developments, the fund manager's skill, the fund's risk profile and management fees. The return may become negative as a result of negative price developments.