The world is changing, and it is changing faster than ever. The Dominion Global Trends Managed fund identifies global growth opportunities, Global Trends, and invests in the companies driving these changes.
The fund offers investors exposures to all the major sources of change in the world today, and generates returns based on that change. We undertake deep industry and sector analysis to identify the leading structural growth trends in the global economy and offer investors a diversified exposure to these investment trends.
*Performance to the EUR B share classes as at the publication date. Performance data supplied by Zeta Fund Services Limited.
Top 5 performers (1 month % Return)
+33.61%
Palantir
+24.39%
Siemens Energy
+17.04%
Nintendo
+15.57%
NU Holdings
+12.88%
L'Oreal
Top 10 Equity Holdings (% AUM)
6.47%
Nintendo
6.42%
Amazon
5.60%
Teleperformance
5.10%
NU Holdings
4.80%
Siemens Energy
4.79%
Meta Platforms
4.69%
Match Group
4.67%
Games Workshop Group
4.62%
Coupang
4.19%
L'Oreal
Fund Performance and Prices as at:
Fund
Share Price
1 Month
3 Months
YTD
1 Year
3 Years
4 Years
5 Years
Launch
Calendar Year Performance
2024
2023
2022
2021
2020
2019
2018
2017
2016
2015
Performance
22.64%
26.29%
-17.11%
21.50%
10.73%
25.79%
-8.97%
8.43%
-3.22%
7.19%
*Performance to the Euro B share classes as at the publication date. Performance data supplied by Zeta Fund Services Limited.
Geographic & Sector Distribution
Sector Allocation
8.16%
Cloud
15.57%
Consumer Growth Trends
20.55%
Digital Content
8.95%
Digital Enterprise Transformation
8.58%
Ecommerce
13.95%
Energy Transition & Climate
5.59%
Fintech
8.27%
Longevity
10.38%
Niche Trends
Geographical Distribution of Holdings
53.14%
America
39.77%
Europe
7.09%
Asia
Specs
Currencies
EUR
USD
GBP
Fund Name
Dominion Global Trends – Managed Fund, a sub fund of Dominion Global Trends SICAV p.l.c.
Launch Date
Sept 2012
Investment Manager
Dominion Global Trends Fund Management Limited (DGTFML), Guernsey, Channel Islands. DGTFML is regulated by the Guernsey Financial Services Commission.
Investment Advisor
Christian Cole. Pacific Asset Management ("PAM"). London, United Kingdom. Pacific Asset Management is regulated by the Financial Conduct Authority.
Dominion Fund Managers appointed PAM as investment advisor to their Maltese and Guernsey fund ranges. Under the arrangement, PAM will undertake research on asset selection; provide asset allocation recommendations, provide investment advice, policy guidance and assistance on the development of the overall strategy for the investment of assets in accordance with the funds’ investment objectives, strategies and restrictions.
Overlay Manager
Edmond De Rothschild Asset Management (France).
Fund Structure
Dominion Global Trends SICAV p.l.c. is a UCITS compliant umbrella structure with multiple sub-funds.
Regulation
Dominion Global Trends SICAV p.l.c., regulated by the Malta Financial Services Authority, the Fund is recognised by Monetary Authority in Singapore and in the UK with Financial Conduct Authority reference number 532412 (for certain share classes only, please refer to the Prospectus and relevant Offering Supplement for details).
Investment Manager
Christian Cole, CFA Head of Equity Strategy
Trading Frequencies
Share Class
EUR A
EUR I
EUR B
EUR C
Frequency
Daily
Daily
Daily
Daily
Switching
Yes
Yes
Yes
No
Fund Charges
Share Class
EUR A
EUR I
EUR B
EUR C
Initial Charge
Up to 5%
0%
Up to 6.5% incorporated into the Subscription Price
0%
Annual Charge
2.10%
1.00%
2.10%
2.10%
Switching Charge
No
No
No
No
Performance Fee
No
No
No
No
Exit Charge
No
No
No
Yes
Minimum Investment
Share Class
EUR A
EUR I
EUR B
EUR C
Minimum Investment
2,500
500,000*
2,500
2,500
*Smaller amounts may be accepted from Institutional Investors at Directors discretion.
Dealing and Tracking Codes
Share Class
EUR A
EUR I
EUR B
EUR C
ISN Code
MT7000005914
MT7000005930
MT7000005922
MT7000019725
Bloomberg Ticker
DGTSTEA MV
DGTSTEI MV
DGTSTEB MV
DOMNGCE MX
SEDOL
B72VWX6
B87VHW2
B8B2R65
BF47186
EMX Participant ID
Domin Strategic/ GT Strategic EUR A
Domin Strategic/ GT Strategic EUR I
Domin Strategic/ GT Strategic EUR B
Domin Strategic/ GT Strategic EUR C
Administrator
Zeta Fund Services Limited, Third Floor, La Plaiderie Chambers, La Plaiderie, St Peter Port, Guernsey, GY1 1WG
The state of the origin of the Fund is Malta. This document may only be distributed in or from Switzerland to qualified investors within the meaning of Art. 10 Para. 3, 3bis and 3ter CISA. The Representative in Switzerland is Waystone Fund Services SA, Av Villamont 17, 1005 Lausanne, Switzerland, whilst the Paying Agent is Banque Cantonale Vaudoise, Place St-François, CH-1003 Lausanne. In respect of the units distributed in or from Switzerland, the place of performance and jurisdiction is at the registered office of the Swiss representative. The basic documents of the Fund as well as the annual and, if applicable, semi-annual report may be obtained free of charge at the registered office of the Swiss Representative.
Key Documents
Fund Fact Sheets - April 2025
Our Fund Fact Sheets offer a monthly update of the most recent performance of the fund, geographical exposure, sector allocation and includes all relevant fund information you need to keep informed.
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