Fundsight Global Strategy Fund
Key Information
ISIN LU1207093052
Last updated on 25 April, 2025
Net Asset Value
76.750000
From the previous NAV
-2.28%
Fund Currency
EUR
Share class currency
EUR
Fund AUM (in Euro)
60’139’627.31
Strategy Launch Date
November 30, 1899
Dividend Policy
Accumulation
Bloomberg Ticker
LGSCIEB LX
Min. Initial Subscription Amount
Mgmt.
Benchmark
Key Information
ISIN LU1207097632
Last updated on 25 April, 2025
NAV
71.050000
From the previous NAV
-0.21%
Fund Currency
EUR
Share class currency
EUR
Fund AUM (in Euro)
60’003’326.06
Strategy Launch Date
November 30, 1899
Dividend Policy
Accumulation
Bloomberg Ticker
LGSCREB LX
Min. Initial Subscription Amount
Mgmt.
Benchmark
Risk
Lower risk
Higher risk
1
2
3
4
5
6
7
Typically lower yield
Typically higher yield
Description
- A fund with a Global macro approach, which provides exposure to equities, bonds and currencies at an international level, with a strategy that is decoupled from market trends.
- The fund seeks investment opportunities based on the study of the international macroeconomic environment, with the possibility of taking both long and short positions on all the main liquid asset classes (Equity, Bonds and FX).
- The objective of the fund is to offer a better risk/return profile compared to the various investment strategies traditionally applied in asset allocation, permanently outperforming the EONIA index by at least 3%.
Investment Approach
- Global macro discretionary, with top-down approach based on strategic macro views
- Strong coherence between view and asset allocation
- The strategy pursues the search for long-term trends and potential reversal points avoiding trading and market timing
- Long-short positions on the main international asset classes (including the most liquid Emerging Markets).
Why Invest
To maintain exposure to liquid, global asset classes in all market conditions, aiming to achieve decorrelated returns and real protection during market downturns.
Did you know?
The fund’s management style produces a constant decorrelation from market trends, and this makes it possible to obtain real portfolio diversification and to contain overall risks. This has been demonstrated by the track record of over 14 years with constant growth in the fund’s return from its inception in 2007 until today, despite the serious financial crises suffered by the markets.
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Maurizio Novelli
With more than 35 years of experience in portfolio management and proprietary trading, Maurizio Novelli trained at the International Financial Program at Princeton, with an MBA in International Finance and…
| Share Class Name | ISIN | Date |
|---|---|---|
| Global Strategy Fund I Institutional EUR B | LU1207093052 | No factsheet is currently available for this type of country. |
| Global Strategy Fund Cap Ret Eur B | LU1207097632 | No factsheet is currently available for this type of country. |
Italy – Germany – Austria – Spain
Fundsight S.A Milano Branch
Head of Business Development
Contact person: Emilio Foglia
emilio.foglia@fundsight.com
Address
Switzerland
Fundsight S.A
Business Development & Distribution
Contact person: Cristian Andreoli
bdd@fundsight.com
Address
France – Benelux
Fundsight S.A
Grand Duchy of Luxembourg
Contact person: Stéphane Lenique
Country Manager France
stéphane.lenique@fundight.com
Address