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Welcome to Thornburg

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Please read the information below. By accessing this web site of Thornburg Investment Management, Inc. ("Thornburg" or "we"), you acknowledge that you understand and accept the following terms and conditions of use.

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800.847.0200

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Thornburg International Equity Fund (UCITS) TEST

Fund Assets
$26.2 M
As of 31 Aug 2023
NAV
$18.69
As of 30 Aug 2023
Change
$0.00
As of 30 Aug 2023
YTD NAV Performance
11.98%
As of 30 Aug 2023
Inception Date
30 Mar 2012

Portfolio Managers

Portfolio Manager and Managing Director
Portfolio Manager and Managing Director
Performance

Performance

Returns

(As of 30 Jun 2023)
YTD
1y
3y
5y
10y
Inception
Total Return (%)
11.38
17.58
10.55
7.58
6.07
5.67
MSCI ACWI ex US NTR (%)
9.47
12.72
7.22
3.52
4.75
4.66
MSCI EAFE NTR (%)
11.67
18.77
8.93
4.39
5.41
5.70
Morningstar Category Avg. (%)
12.41
15.09
9.16
6.19
6.96
Morningstar Quartile
2
2
2
3
YTD
1y
3y
5y
10y
Inception
Total Return (%)
11.44
19.00
6.02
7.79
5.76
5.58
MSCI ACWI ex US NTR (%)
8.78
11.89
3.99
3.33
4.38
4.53
MSCI EAFE NTR (%)
10.87
17.92
6.05
4.14
4.93
5.54
Morningstar Category Avg. (%)
12.41
15.09
9.16
6.19
6.96
Morningstar Quartile
2
2
2
3
YTD
1y
3y
5y
10y
Inception
Total Return (%)
11.38
17.58
35.10
44.11
80.31
85.90
MSCI ACWI ex US NTR (%)
9.47
12.72
23.27
18.86
59.02
66.95
MSCI EAFE NTR (%)
11.67
18.77
29.26
23.95
69.34
86.56
YTD
1y
3y
5y
10y
Inception
Total Return (%)
11.44
19.00
19.15
45.54
75.14
86.00
MSCI ACWI ex US NTR (%)
8.78
11.89
12.44
17.81
53.50
65.89
MSCI EAFE NTR (%)
10.87
17.92
19.28
22.47
61.84
85.22
2013
2014
2015
2016
2017
2018
2019
2020
2021
2022
Total Return (%)
13.42
-5.70
4.51
-3.11
24.69
-21.59
29.63
28.27
9.76
-16.63
MSCI EAFE NTR (%)
22.78
-4.90
-0.81
1.00
25.03
-13.79
22.01
7.82
11.26
-14.45
MSCI ACWI ex US NTR (%)
15.29
-3.87
-5.66
4.50
27.19
-14.20
21.51
10.65
7.82
-16.00
Fund Facts

Fund Facts

(As of 31 Aug 2023)
Net Fund Assets
$26.2 M
Benchmark
MSCI ACWI ex US NTR
Morningstar Category
EAA Fund Global Large-Cap Blend Equity
Fund Symbol
TBGXUSI ID
Share Class
I Acc
Share Class Inception Date
30 Mar 2012
Number of Holdings
59
Portfolio Turnover
40%
Distribution Frequency
N/a
Characteristics

Characteristics

Portfolio

(As of 31 Aug 2023)
Portfolio
Benchmark
Weighted Average Market Cap
$139.8 B
$43.0 B
Median Market Cap
$62.2 B
$8.5 B
Price to Earnings - Forward 1YR
14.4x
13.1x
Dividend Yield
3.1%
3.2%
Price to Earnings - Trailing 12 Months
15.5x
12.8x
Price to Cash Flow
7.3x
6.5x
Portfolio
Benchmark
Price to Book Value
2.0x
1.7x
Return on Assets - 5 YR
6.0%
7.3%
Return on Equity - 5 YR
15.3%
15.6%
Historical 3YR Sales Growth
14.8%
13.9%
Active Share
83.3%
Risk & Return Profile

Risk & Return Profile

(As of 30 Jun 2023)
3y
5y
10y
Annualized Alpha (%)
3.16
4.07
1.48
Beta
1.01
0.99
0.97
R-Squared (%)
91.96
91.97
89.15
Standard Deviation (%)
17.77
17.99
15.20
Sharpe Ratio
0.52
0.33
0.34
Information Ratio
0.66
0.80
0.26
Up Capture (%)
108.48
111.67
102.55
Down Capture (%)
95.56
95.76
96.09
Portfolio

Portfolio

Top Holdings

(As of 31 Jul 2023)
Name
Ticker/Symbol
Sector
Weight %
Alibaba Group Holding Ltd.
9988
Consumer Discretionary
3.8
TotalEnergies SE
TTE
Energy
3.6
Meituan
3690
Consumer Discretionary
3.4
Hitachi Ltd.
6501
Industrials
3.4
Roche Holding AG
ROG
Health Care
3.3
L'Oreal S.A.
OR
Consumer Staples
3.3
Canadian Pacific Kansas City Ltd.
CP
Industrials
3.2
Tencent Holdings Ltd.
700
Communication Services
3.1
ING Groep N.V.
INGA
Financials
2.9
Seven & i Holdings Co. Ltd.
3382
Consumer Staples
2.8
Exposure Breakdown

Exposure Breakdown

(As of 31 Aug 2023)
Sector Allocation
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
5%
10%
15%
20%
25%
30%
Industrials
19.0
13.2
Financials
14.0
20.7
Consumer Discretionary
9.6
12.1
Information Technology
9.5
11.6
Consumer Staples
9.2
8.6
Cash & Cash Equivalents
7.5
Materials
7.0
7.8
Utilities
6.7
3.1
Health Care
6.3
9.7
Communication Services
6.1
5.4
Energy
5.2
5.7
Real Estate
0.0
2.1
Sector Allocation
Fund (%)
Industrials
19.0
Financials
14.0
Consumer Discretionary
9.6
Information Technology
9.5
Consumer Staples
9.2
Cash & Cash Equivalents
7.5
Materials
7.0
Utilities
6.7
Health Care
6.3
Communication Services
6.1
Energy
5.2
Real Estate
0.0
Top 10 Industries
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
5%
10%
15%
20%
Capital Goods
14.2
9.1
Materials
7.0
7.8
Utilities
6.7
3.1
Pharmaceuticals, Biotechnology & Life Sciences
5.9
7.8
Insurance
5.6
4.6
Energy
5.2
5.7
Banks
5.2
12.5
Semiconductors & Semiconductor Equipment
4.5
4.8
Consumer Staples Distribution & Retail
3.7
1.6
Consumer Discretionary Distribution & Retail
3.7
2.8
Top 10 Industries
Fund (%)
Capital Goods
14.2
Materials
7.0
Utilities
6.7
Pharmaceuticals, Biotechnology & Life Sciences
5.9
Insurance
5.6
Energy
5.2
Banks
5.2
Semiconductors & Semiconductor Equipment
4.5
Consumer Staples Distribution & Retail
3.7
Consumer Discretionary Distribution & Retail
3.7
Top 10 Countries
Fund (%)
Benchmark (%)
Region

Portfolio

Benchmark

0%
5%
10%
15%
20%
France
18.5
8.0
Europe ex UK
Japan
13.5
14.7
Japan
Netherlands
9.1
2.8
Europe ex UK
China
8.8
8.3
Asia Pacific ex Japan
Switzerland
7.8
6.6
Europe ex UK
United States
5.6
0.2
North America
Canada
5.5
7.5
North America
Germany
4.7
5.5
Europe ex UK
Spain
4.6
1.7
Europe ex UK
Italy
4.5
1.5
Europe ex UK
Top 10 Countries
Fund (%)
France
18.5
Japan
13.5
Netherlands
9.1
China
8.8
Switzerland
7.8
United States
5.6
Canada
5.5
Germany
4.7
Spain
4.6
Italy
4.5
Capitalization
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
10%
20%
30%
40%
50%
60%
70%
80%
90%
100%
Large Cap (> $12 B)
93.9
81.9
Mid Cap ($2.5 to $12 B)
6.1
17.8
Small Cap (< $2.5 B)
0.0
0.3
Capitalization
Fund (%)
Large Cap (> $12 B)
93.9
Mid Cap ($2.5 to $12 B)
6.1
Small Cap (< $2.5 B)
0.0
Portfolio managers

Portfolio managers

Lei Wang, CFA

Lei Wang, CFA

Portfolio Manager and Managing Director
Lei Wang is portfolio manager for Thornburg Investment Management. He joined Thornburg Investment Management in 2004 as associate portfolio ­manager and was promoted to portfolio manager in 2006. Lei holds a BA and an MA from East China Normal University and an MBA from New York University. He is a CFA charterholder. Prior to joining Thornburg, he served as an…
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Matt Burdett

Matt Burdett

Portfolio Manager and Managing Director
Matt Burdett is portfolio manager for Thornburg Investment Management. He rejoined the firm in 2015 as an associate portfolio manager and was promoted to portfolio manager in 2018. Matt spent several years as a senior vice president and portfolio manager at PIMCO, where he co-managed various dividend-oriented strategies. Prior to his time at PIMCO, Matt worked as an equity analyst…
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