The Pengana Harding Loevner International Fund is an International Fund targeting superior risk-adjusted returns through investing in high-quality and durable growing companies at reasonable prices.
The Pengana Harding Loevner International Fund invests in high-quality, growing companies identified through fundamental research with a long-term, global perspective.
Pengana has appointed Harding Loevner to manage the Fund. Harding Loevner is a New Jersey-based global equity fund manager formed in 1989 with over US$86billion in Assets under Management.
Harding Loevner’s analysts search the world for companies that meet their high quality and durable growth criteria, conduct fundamental research, and then value and rate their stocks to make them available to PMs for investment.
For up to date fund statistics please find the latest monthly report here
Investors have the choice of management and performance fees
Class B - For investors looking for a set cost investment management fee with no performance fees:
Class E - For investors who prefer to pay a lower management fee with performance fees paid on a returns basis:
Investment Approach
The Fund’s investment manager uses a value-oriented investment approach to small and midcap global equities that seek to identify and invest in quality businesses that create significant value but is mispriced, overlooked or out-of-favour. The investment manager believes that unique opportunities exist due to limited available research, corporate actions or unfavourable investor perception.
Investment Process
The investment manager conducts independent analysis to generate its own investment ideas.
Investment opportunities must meet the following 5 criteria to be considered for inclusion in the portfolio:
The portfolio construction process aims to develop portfolios that incorporate the best investment ideas from the investment manager’s research while allowing for liquidity constraints and perceived risk. The Fund’s investment manager will not typically hedge currency exposures, however, during periods of currency extremes, some currency hedging may be employed.
Indicative Strategic Asset Allocation
The Fund's investment manager aims to manage the Fund within the following guidelines:
The Fund can invest in securities that are not part of the Index. The Fund's investment manager will endeavour to work within the above guidelines – however, these should be viewed as objectives only and not absolute limits.
Top Holdings can be viewed here
Founded in 2003 and headquartered in Sydney, with offices in Melbourne, Brisbane, and Perth, Pengana currently manages over AUD$4 billion across a range of international and Australian strategies.
We hunt for the world’s leading investment teams in order to bring our investors unique, differentiated, and smart investment products.
Our unique business model also delivers centralised support from our corporate team, so our fund managers can focus on what they do best – managing portfolios.
Pengana’s premium investment products employ active strategies with non-benchmark mandates, giving our investment teams the freedom to invest in their best ideas.
With independent investment teams in Chicago, Connecticut, New Jersey, United Kingdom, Israel, Melbourne, and Sydney, our range of independently managed investment strategies provides a well-blended and uncorrelated level of diversification.
Each strategy is run by a separate investment team with unique skills relevant to their investment class. Our focus and track record is to provide investors with long-term returns, adjusted for risk minimisation.
Pengana Capital is a wholly owned subsidiary of Pengana Capital Group.
Analyst, Consumer Discretionary Portfolio Manager, Global Equity (Co-Lead) & World Equity Partner
Joined Harding Loevner in 1997
Previous Experience
Rockefeller & Co., Inc., 1988–97
Chase Manhattan Bank, N.A., 1983–88
Education
Analyst, Industrials & China Portfolio Manager, Global Equity (Co-Lead), World Equity & Chinese Equity Partner.
Joined Harding Loevner in 2010.
Previous Experience
New China Capital Management, LLC (manager of The Cathay Capital Group), 2005–10
Harding, Loevner Management, L.P., 2004
China International Economics Consultants, 2002–03
Accenture, 1998–02
Education
The latest monthly report is available here
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The issuer of this product is identified at the top of this page. The PDS and target market determination for the product are available in the Documents section of this listing. Prospective investors should consider the PDS before deciding to acquire the product. This product listing was vetted by and approved by the product issuer identified above before publishing. Investment Markets (Aust) Pty Ltd AFSL 527875 (IM) is not the issuer of the product.
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