Platinum World Portfolios - International Fund
A truly diversified portfolio of companies from around the world and across industry sectors, the fund offers investors exposure to undervalued businesses in both developed and emerging markets.
Investment objective:
To provide capital growth over the long-term (generally 5 to 7 years) through investing 50% to 100% of the fund’s net asset value in undervalued securities of companies located anywhere in the world.
Key benefits:
- Access to a manager with a proven investment philosophy and method for selecting undervalued stocks and a team of experienced investment professionals
- Exposure to an actively managed, diversified equity portfolio that seeks to minimise losses during market downturns using risk management techniques
- Actively managed currency exposures providing diversification and potentially reducing currency risk
- Choice of share classes denominated in USD, EUR or GBP
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Legal structure
Irish-domiciled UCITS. A sub-fund of Platinum World Portfolios PLC
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Base currency
US Dollar
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Financial year end
30 June
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Distribution policy
Net income and capital gains are accumulated and reflected in the net asset value per share
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Standard fee classes
- Investment management base fee1: 1.40%
- Performance fee2: Nil
- Cap on all fees & expenses3: 1.65%
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Performance fee classes
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Anti-dilution levy
- Entry: 0.25% of net subscription
- Exit: 0.25% of net redemption
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Portfolio Manager(s)
Performance
Fund Overview
- As a percentage of the net asset value of the fund attributable to the relevant share class per annum.
- As a percentage of the amount by which the fund outperforms the benchmark index, being the MSCI All Country World Net Index (US$), after deduction of the base fee, but before deduction of any accrued performance fee. If the return on the fund in any year is less than the benchmark index, the difference for that year will be carried forward and applied against the subsequent year’s return for the fund for the purpose of calculating a performance fee. The shortfall will be carried forward until a performance fee becomes payable. No performance fee can be paid unless all prior underperformance has been clawed back.
- This voluntary cap represents, as a percentage of the net asset value of the fund attributable to each share class, the maximum amount that can be paid out of the fund to cover fees and expenses in a financial year, excluding performance fees, if any, that may be payable to the Investment Manager, but including any base fees and out-of-pocket expenses payable to the Investment Manager as well as any fees and expenses payable to the fund’s custodian and administrator. The Investment Manager has voluntarily undertaken to reduce or waive all or a portion of its investment management fee or to make other arrangements to reduce the fees and expenses of the fund to the extent necessary to ensure that the total fees and expenses in a financial year (excluding performance fees) do not exceed the stated levels. The Investment Manager may terminate or modify any such voluntary agreement at any time at its sole discretion upon thirty (30) days’ notice in writing to the shareholders of Platinum World Portfolios PLC.
- The fund invests primarily in equity and equity-related securities that are listed or traded on regulated markets.
- The fund may invest up to 10% of its net asset value in unlisted securities.
- When undervalued securities cannot be identified, the fund may invest in cash, deposits and similar instruments.
- The fund may have exposure to bonds/debt securities through bond futures and convertible securities, but such exposure will not exceed 10% of the fund’s net asset value at the time of investment.
- The fund may be leveraged as a result of using derivatives (including for indirect short positions), but such leverage will not exceed 100% of the fund’s net asset value.
- The fund may borrow on a temporary basis up to 10% of its net asset value.
- Subject to the limits on leverage, the fund may hold indirect short positions through the use of derivatives (primarily equity swap contracts).
- Typically 0 – 50% of the fund’s net asset value.
- The fund’s currency exposures are actively managed with the aim of capturing the returns and minimising the risks arising from the fund’s exposure to foreign currency fluctuations, which can change the value of the equity investments measured in the fund’s reporting currency (USD).
- Platinum may manage the fund’s currency exposures using foreign exchange forwards, swaps, non-deliverable forwards, currency options and cash foreign exchange trades.
- The fund does not seek to undertake share class hedging for share classes E – H which are denominated in a currency other than the fund’s base currency (USD).
Share Class A | Share Class B | Share Class C | Share Class D | Share Class E | Share Class F | Share Class G | Share Class H | |||||||||||||||||||||||||||||
ISIN | IE00BYRGQX37 | IE00BYRGR076 | IE00BYRGQY44 | IE00BYRGQZ50 | IE00BYRGR415 | IE00BYRGR183 | IE00BYRGR290 | IE00BYRGR308 | ||||||||||||||||||||||||||||
Currency | US Dollar | US Dollar | US Dollar | US Dollar | Euro | Euro | Pound Sterling | Pound Sterling | ||||||||||||||||||||||||||||
Minimum Initial Investment | US$500,000 | US$100,000 | US$500,000 | US$100,000 | €400,000 | €80,000 | £300,000 | £60,000 | ||||||||||||||||||||||||||||
Minimum Subsequent Investment | US$25,000 | US$25,000 | US$25,000 | US$25,000 | €20,000 | €20,000 | £20,000 | £20,000 | ||||||||||||||||||||||||||||
Minimum Holding | US$500,000 | US$100,000 | US$500,000 | US$100,000 | €400,000 | €80,000 | £300,000 | £60,000 | ||||||||||||||||||||||||||||
Anti-Dilution Levy (on entry or exit) | 0.25% | 0.25% | 0.25% | 0.25% | 0.25% | 0.25% | 0.25% | 0.25% | ||||||||||||||||||||||||||||
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Voluntary Cap on Total Fees & Expenses3 | 1.00% | 1.65% | 1.00% | 1.65% | 1.00% | 1.65% | 1.00% | 1.65% | ||||||||||||||||||||||||||||
Distribution Policy | Accumulating | Accumulating | Accumulating | Accumulating | Accumulating | Accumulating | Accumulating | Accumulating | ||||||||||||||||||||||||||||
Voting Rights | Yes | Yes | No | No | Yes | Yes | Yes | Yes | ||||||||||||||||||||||||||||
Registered in the UK | Yes | Yes | Yes | Yes | Yes | Yes | Yes | Yes | ||||||||||||||||||||||||||||
UK Reporting Fund | Yes | Yes | No | No | No | No | Yes | Yes |
Key Investment Policies
The following is a summary of the fund’s key investment policies and guidelines. Please carefully read the Prospectus and the Key Investor Information Documents (KIIDs) and/or Key Information Documents (PRIIPs KIDs) before making any investment decision.
Suggested time horizon | 5 or more years |
Geographic limits | None. The fund's investments are not subject to geographical limits and may be located in emerging markets. |
Industry/sector limits | None. |
Asset classes |
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Number of securities in portfolio | Typically 25 to 150 securities that the Investment Manager believes to be undervalued. |
Net equity exposure | Typically 50 – 100% of the fund’s net asset value. |
Derivatives | The fund may use financial derivative instruments (e.g. futures, options, swaps) to increase returns and/or for the purpose of efficient portfolio management (e.g. to reduce risk exposure). |
Leverage |
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Short-selling |
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Currency |
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Fund Documents
Prospectus
Key Investor Information Documents (KIIDs)
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PWP - International Fund (Class A USD Accumulating) (also representative for Class E)
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PWP - International Fund (Class B USD Accumulating)
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PWP - International Fund (Class D USD Accumulating) (also representative for Class H)
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PWP - International Fund (Class F EUR Accumulating)
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PWP - International Fund (Class G GBP Accumulating)
Key Information Document (PRIIPs KIDs)
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PWP - International Fund Class A USD Accumulating (IE00BYRGQX37) (also representative for Class E)
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PWP - International Fund Class B USD Accumulating (IE00BYRGR076)
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PWP - International Fund Class D USD Accumulating (IE00BYRGQZ50) (also representative for Class H)
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PWP - International Fund Class F EUR Accumulating (IE00BYRGR183)
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PWP - International Fund Class G GBP Accumulating (IE00BYRGR290)
Past Performance - 2021
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PWP - International Fund Class A USD Accumulating (IE00BYRGQX37) (also representative for Class E)
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PWP - International Fund Class B USD Accumulating (IE00BYRGR076)
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PWP - International Fund Class D USD Accumulating (IE00BYRGQZ50) (also representative for Class H)
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PWP - International Fund Class F EUR Accumulating (IE00BYRGR183)
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PWP - International Fund Class G GBP Accumulating (IE00BYRGR290)
Past Performance - 2022
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PWP - International Fund Class G GBP Accumulating (IE00BYRGR290)
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PWP - International Fund Class A USD Accumulating (IE00BYRGQX37) (also representative for Class E)
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PWP - International Fund Class B USD Accumulating (IE00BYRGR076)
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PWP - International Fund Class D USD Accumulating (IE00BYRGQZ50) (also representative for Class H)
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PWP - International Fund Class F EUR Accumulating (IE00BYRGR183)
Company Constitution
Company Remuneration Policy
Updates & Reports
Monthly Updates
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31 Oct 2023
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30 Sep 2023
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31 Aug 2023
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31 Jul 2023
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30 Jun 2023
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31 May 2023
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30 Apr 2023
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31 Mar 2023
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28 Feb 2023
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31 Jan 2023
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31 Dec 2022
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30 Nov 2022
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31 Oct 2022
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30 Sep 2022
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31 Aug 2022
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31 Jul 2022
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30 Jun 2022
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31 May 2022
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30 Apr 2022
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31 Mar 2022
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28 Feb 2022
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31 Jan 2022
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31 Dec 2021
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30 Nov 2021
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31 Oct 2021
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30 Sep 2021
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31 Aug 2021
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31 Jul 2021
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30 Jun 2021
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31 May 2021
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30 Apr 2021
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31 Mar 2021
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28 Feb 2021
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31 Jan 2021
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31 Dec 2020
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30 Nov 2020
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31 Oct 2020
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30 Sep 2020
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31 Aug 2020
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31 Jul 2020
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30 Jun 2020
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31 May 2020
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30 Apr 2020
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31 Mar 2020
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29 Feb 2020
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31 Jan 2020
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31 Dec 2019
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30 Nov 2019
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31 Oct 2019
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30 Sep 2019
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31 Aug 2019
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31 Jul 2019
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30 Jun 2019
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31 May 2019
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30 Apr 2019
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31 Mar 2019
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28 Feb 2019
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31 Jan 2019
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31 Dec 2018
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30 Nov 2018
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31 Oct 2018
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30 Sep 2018
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31 Aug 2018
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31 Jul 2018
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30 Jun 2018
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31 May 2018
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30 Apr 2018
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31 Mar 2018
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28 Feb 2018
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31 Jan 2018
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31 Dec 2017
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30 Nov 2017
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31 Oct 2017
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30 Sep 2017
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31 Aug 2017
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31 Jul 2017
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30 Jun 2017
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31 May 2017
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30 Apr 2017
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31 Mar 2017
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28 Feb 2017
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31 Jan 2017
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31 Dec 2016
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30 Nov 2016
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31 Oct 2016
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30 Sep 2016
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31 Aug 2016
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31 Jul 2016
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30 Jun 2016
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31 May 2016
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30 Apr 2016
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31 Mar 2016
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29 Feb 2016
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31 Jan 2016
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31 Dec 2015
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30 Nov 2015
Quarterly Investment Manager's Report
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30 Sep 2023
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30 Jun 2023
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31 Mar 2023
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31 Dec 2022
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30 Sep 2022
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30 Jun 2022
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31 Mar 2022
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31 Dec 2021
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30 Sep 2021
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30 Jun 2021
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31 Mar 2021
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31 Dec 2020
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30 Sep 2020
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30 Jun 2020
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31 Mar 2020
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31 Dec 2019
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30 Sep 2019
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30 Jun 2019
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31 Mar 2019
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31 Dec 2018
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30 Sep 2018
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30 Jun 2018
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31 Mar 2018
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31 Dec 2017
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30 Sep 2017
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30 Jun 2017
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31 Mar 2017
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31 Dec 2016
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30 Sep 2016
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30 Jun 2016
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31 Mar 2016
Financial Statements
Tax Reporting
Price History
The following prices (net asset value per share) pertain to the various share classes available for investing in the Platinum World Portfolios - International Fund. The share classes differ with respect to important attributes, such as currency of denomination, fees, voting rights as well as their availability and tax reporting status in specific jurisdictions.
Please refer to the Fund Overview for a summary of those differences, and please carefully read the Prospectus and the Key Investor Information Documents (KIIDs) before making any investment decision. The Prospectus contains further details on each share class as well as the initial subscription price (subject to any anti-dilution levy) applicable to those share classes that have not been activated (and, therefore, for which no price is displayed below).
Information on this webpage does not, and is not intended to, constitute an offer or a solicitation to subscribe for, redeem or convert shares in Platinum World Portfolios PLC or any of its sub-funds in any jurisdiction in which such an offer or solicitation is not authorised or to any person to whom it is unlawful to make such an offer or solicitation.