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TSW Emerging Markets Fund (TSWMX)

TSW Emerging Markets Fund (TSWMX)

The TSW Emerging Markets Fund is managed by Elliott Jones and aims to maximize long-term capital appreciation. The Fund invests in equity securities of companies that are domiciled in or tied economically to emerging market countries, including frontier markets. The Fund utilizes a bottom-up, business-focused approach based on the study of individual companies and the competitive dynamics of the industries in which they participate. The portfolio manager strives to identify companies whose shares are underpriced relative to their intrinsic value.  The Fund may invest in emerging market companies of any size, including small- and mid-capitalization companies. 

Investment Objective:

The investment objective of the TSW Emerging Markets Fund (the “Fund”) is to maximize long-term capital appreciation.

 

Strategy Summary:

Asset Class Emerging Markets Equity
Benchmark MSCI Emerging Markets Index
Institutional Class TSWMX

 

Expense Ratio

Gross

Net*

Institutional Class

2.21%

0.99%

*Expense ratios as stated in the latest prospectus. Perpetual Americas Funds Services has contractually agreed to waive fees and reimburse expenses so that the Net Total Operating Expenses do not exceed the stated amounts until February 1, 2025.



Top 10 Holdings and Active Weights (as of 8/31/2024):

Top 10 Holdings  
Taiwan Semiconductor Manufacturing Co., Ltd. 9.56%
Samsung Electronics Co., Ltd. 6.49%
Tencent Holdings Ltd. 5.20%
ICICI Bank Limited Sponsored ADR 3.61%
Alibaba Group Holding Limited 2.97%
Naspers Limited Class N 2.95%
E Ink Holdings Inc 2.84%
Shinhan Financial Group Co., Ltd. 2.45%
Reliance Industries Limited Shs Sponsored Global Depositary Share Repr 2Shs 144A 2.38%
Netease Inc 2.33%
 
Important information: 
Fund holdings are subject to change without notification

 

Prospectus
An investor should consider the Fund’s investment objectives, risks, and charges and expenses carefully before investing or sending any money. This and other important information about the Funds can be found in the Fund’s(s) prospectus or summary prospectus which can be obtained at www.perpetual.com or by calling 866-260-9549 or 312-557-5913. Please read the prospectus or summary prospectus carefully before investing. The Perpetual Americas Funds are advised by Perpetual Americas Funds Services and distributed through Perpetual Americas Funds Distributors, LLC, member FINRA. The Perpetual Americas Funds are not FDIC-insured, may lose value, and have no bank guarantee.

Investors should note that investments in foreign securities involve additional risks due to currency fluctuations, economic and political conditions, and differences in financial reporting standards.

Smaller company stocks are more volatile and less liquid than larger, more established company securities.

The small and mid-cap companies the Fund may invest in may be more vulnerable to adverse business or economic events than larger companies and may be more volatile; the price movements of the Fund's shares may reflect that volatility.

Fixed income securities will increase or decrease in value based on changes in interest rates.

If rates increase, the value of the Fund’s fixed income securities generally declines.

High yield securities (commonly known as “junk bonds”) are generally considered speculative because they may be subject to greater levels of interest rate, credit (including issuer default) and liquidity risk than investment grade securities and may be subject to greater volatility.

Other risks may include and not limited to hedging strategies, derivatives and commodities.

Read the prospectus and summary prospectus carefully before investing. Investing includes the risk of loss.


Distributed by Perpetual Americas Funds Distributors, LLC, member FINRA/SIPC; not affiliated with Perpetual Americas Funds Services.

Copyright © 2024 Perpetual Asset Management International.
NOT FDIC INSURED | NO BANK GUARANTEE | MAY LOSE VALUE