Seeking diversified exposure to global developed and emerging market companies

Causeway’s Global Systematic Equity (GSE) strategy is a quantitative, actively managed global equity strategy built to perform across market regimes. GSE will normally invest its assets in companies in developed markets and emerging markets. Backed by over two decades of quantitative investing experience, the strategy’s key design features include an active alpha model powered by diverse, uncorrelated signals; fundamental research integration to capture risks that models can miss; and robust, proprietary risk management to help build resilient portfolios.

Benchmark
MSCI ACWI
Inception
March 31, 2022
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Portfolio managers

Quantitative Portfolio Manager
Head of Quantitative Research
Quantitative Portfolio Manager
Portfolio Manager
Director of Sustainability Research
Quantitative Portfolio Manager
Quantitative Portfolio Manager

Performance

Table Header QTD YTD 1 year3 years Since inception
Strategy (gross) 18.3%15.1%32.9%31.1%19.1%
Strategy (net) 18.2%14.8%32.1%30.3%18.3%
MSCI ACWI 16.0%12.4%30.8%22.8%14.1%
Table Header QTD YTD 1 year3 years Since inception
Strategy (gross) 18.3%15.1%32.9%31.1%19.1%
Strategy (net) 18.2%14.8%32.1%30.3%18.3%
MSCI ACWI 16.0%12.4%30.8%22.8%14.1%
Table Header QTD YTD 1 year3 years Since inception
Strategy (gross) -2.7%-2.7%25.4%23.5%15.0%
Strategy (net) -2.9%-2.9%24.6%22.8%14.3%
MSCI ACWI -3.1%-3.1%20.5%17.1%10.6%
Table Header QTD YTD 1 year3 years Since inception
Strategy (gross) -2.7%-2.7%25.4%23.5%15.0%
Strategy (net) -2.9%-2.9%24.6%22.8%14.3%
MSCI ACWI -3.1%-3.1%20.5%17.1%10.6%
Fund 202520242023
Strategy (gross) 25.7%25.3%29.4%
Strategy (net) 24.9%24.5%28.6%
MSCI ACWI 22.9%18.0%22.8%
Table Header
Strategy (gross)
Strategy (net)
MSCI ACWI
202520242023
25.7%25.3%29.4%
24.9%24.5%28.6%
22.9%18.0%22.8%

Portfolio (as of May 31, 2026)

Benchmark: MSCI ACWI
Asset Allocation
Table Header Strategy
Stocks 99.1%
Cash 0.9%
Strategy Characteristics
Table Header Strategy Benchmark
No. of holdings 132 2513
Weighted avg. market cap (US $MM) $864,918 $962,988
FY2 price/earnings 11.5 16.7
Price/book value 3.0 3.9
Dividend yield (%) 1.5 1.6
TOP 10 HOLDINGS
Security Country Percent
NVIDIA Corp. United States 6.6
Taiwan Semiconductor Manufacturing Co., Ltd. Taiwan 4.0
Broadcom, Inc. United States 2.9
SK hynix, Inc. South Korea 2.6
Microsoft Corp. United States 2.5
Apple, Inc. United States 2.5
Alphabet, Inc. United States 2.5
Lam Research Corp. United States 2.3
Accton Technology Corp. Taiwan 2.1
T-Mobile US, Inc. United States 2.1

A “weighted average” measures a characteristic by the market capitalization of each stock. Price/book ratio is the weighted average of the price/book ratios of all the stocks in a portfolio. The P/B ratio of a company is calculated by dividing the market price of its stock by the company’s per-share book value. The price/earnings ratio is the weighted average of the price/earnings ratios of the stocks in a portfolio. The FY2 P/E ratio is a forward P/E ratio using a next-twenty-four months EPS estimate in the denominator.

Holdings are subject to change.

SECTOR WEIGHTS
Sector Strategy Benchmark
Information Technology 37.3% 32.2%
Financials 18.4% 15.6%
Health Care 9.4% 7.8%
Industrials 9.3% 10.7%
Consumer Discretionary 6.3% 9.1%
Communication Services 5.4% 8.3%
Materials 5.0% 3.7%
Real Estate 3.5% 1.6%
Energy 2.0% 3.7%
Utilities 2.0% 2.4%
Consumer Staples 0.5% 4.7%
TOP 10 COUNTRIES
Country Strategy Benchmark
United States 59.7% 63.4%
Japan 9.8% 5.0%
South Korea 7.8% 2.8%
Taiwan 6.6% 3.3%
United Kingdom 3.4% 3.1%
Canada 2.6% 3.0%
Australia 1.9% 1.4%
China 1.9% 2.5%
Netherlands 1.7% 1.2%
Ireland 1.6% 0.1%
Regional Allocation
  • North America 62.3%
  • Emerging Asia 16.3%
  • Pacific 11.7%
  • Euro 3.9%
  • Europe - Other 3.9%
  • Developed Middle East 0.8%
  • Emerging Europe, Middle East, Africa 0.2%