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Comgest Growth World USD Acc

Rang 38 von 832 in - Aktien - Global über 12 Monate
All calculations are in EUR unless stated

Verwaltet von

Vincent Houghton

Vincent Houghton joined Comgest in 2009 and is a portfolio manager and analyst contributing to Comgest’s Global and EAFE Plus equity strategies. Based in Singapore, he has more than 30 years of investment and banking experience, principally in Asian markets. Prior to joining Comgest, Vincent worked in Asia with Merrill Lynch, HSBC and Credit Lyonnais as an investment analyst and in a variety of institutional sales director roles dating back to 1993. He started his career in 1980 at Hong Kong Bank, serving in successive regional management roles in Bahrain, Brunei and Hong Kong. He graduated from the University of London’s School of Oriental and African Studies (SOAS) and has a Master’s degree in Economic Development.

Laure Négiar

Laure Negiar joined Comgest in 2010, initially within the firm’s US equity team as an analyst before moving to the global equity team where she is today a portfolio manager and analyst. Laure contributes to the Comgest Growth World, Comgest Monde and Comgest Growth EAFE Plus funds, as well as several global equity segregated accounts. Before joining Comgest, Laure worked at BNP Paribas Equities & Derivatives in Paris and London, and prior to that worked in several roles within the US government. Laure obtained a Bachelor’s degree in public policy from Stanford University before graduating on the Dean's list with an MSc in management from the HEC business school in France. Laure is also a CFA charterholder.

Céline Piquemal-Prade

Céline Piquemal‐Prade joined Comgest in 2003 as a global equities analyst working closely alongside Jean‐Francois Canton, one of the firm’s founders. Céline became a lead portfolio manager of Comgest’s global strategy in 2008 including the Comgest Monde and Comgest Growth World funds as well as the Comgest Growth EAFE Plus fund since its launch in 2012 and a number of global segregated mandates. Céline began her career in London as an analyst at J.P. Morgan and then at Morgan Stanley before joining McKinsey in 2000 as a consultant in the Financial Institutions Group practice, where she advised corporations across a number of different industries. She graduated from the HEC business school in Paris with a major in finance.

Zak Smerczak

Zak Smerczak joined Comgest in 2016 and is an analyst and portfolio manager in the Global equity team. He started his career in 2006 at Deloitte in London, initially in Assurance & Advisory Services before moving to Transaction Services, where he was responsible for operational and financial due diligence. In 2011 he joined Mirabaud Asset Management, where he worked as an analyst covering global equities. In 2015 he moved to Polar Capital Holdings where he held the position of analyst and portfolio manager for the firm’s global multi-asset income strategy. He holds a Bachelor of Business Science Degree with Honours in Finance from the University of Cape Town. He is a CFA® charterholder and has been a member of the Institute of Chartered Accountants of Scotland since 2009.


The investment objective of the Fund is to achieve capital appreciation by creating a professionally managed portfolio consisting of what in the opinion of the Investment Manger, are international and diversified growth securities with a predominance in equities. The Investment Manager intends investing on a global basis in shares or equity linked securities including preferred stock, convertible bonds and debentures which are convertible into equity securities issued by companies quoted or traded on Regulated Markets.


Aktien - Global über : 30.06.2017 - 30.06.2018
  • Rangfolge 38/832 Gesamtertrag
  • Rangfolge 712/832 Standardabweichung
  • Rangfolge 131/832 Maximaler Verlust


Auf das Jahr Quartalsperformance

bis 30.06.2018 Jährlich Q1 Q2 Q3 Q4
2018 -1,0% 5,9%
2017 19,4% 7,4% 1,1% 0,8% 9,1%
2016 3,4% -6,3% 5,5% 2,2% 2,4%
2015 13,0% 19,1% -4,7% -8,1% 8,3%
2014 18,0% -0,1% 4,7% 5,9% 6,5%
2013 20,7% 8,6% 0,4% 4,6% 5,9%
2012 12,7% 5,8% 0,5% 3,7% 2,3%
2011 -7,2% -7,4% 0,7% -4,5% 4,2%
2010 20,0% 9,0% -0,4% 0,3% 10,2%
2009 30,9% -1,0% 14,8% 8,2% 6,4%
2008 -34,4% -12,8% -3,4% -3,4% -19,3%
2007 -6,3% -0,4% 2,6% 0,3% -8,7%
2006 3,4% 3,8% -5,6% 5,4% 0,2%
2005 33,6% 5,4% 9,0% 8,3% 7,4%
2004 0,8% 5,7% -1,9% -3,6% 0,8%

Monatliche Performance

Rendite vs Risiko

Zum Verkauf zugelassen in

  1. Österreich
  2. Belgien
  3. Frankreich
  4. Deutschland
  5. Irland
  6. Italien
  7. Luxemburg
  8. Niederlande
  9. Schweden
  10. Schweiz
  11. Vereinigtes Königreich

Information über den Fonds

  • Starttermin28.11.2003
  • Größe der Anteilsklasse42Mn
  • BasiswährungUSD
  • ISIN IE0033535075


  • Mindestanlage (initial)50
  • Mindest regelmäßige Zusatzinvestition0


  • Jährliche Verwaltungsgebühr1,50%
  • Ausgabeaufschlag1,50%

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