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      • investment funds.
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      • LO Funds IV - Environmental & Sustainable Opportunities, X1 I D

      LO Funds IV
      Environmental & Sustainable Opportunities

      ISINLU2407909980

      LO Funds IV - Environmental & Sustainable Opportunities, X1 I D

      ISINLU2407909980
      funds listsustainability report

      General information

      Asset ClassEquities
      CategorySustainable Thematics
      StrategyActive Strategy
      Fund base currencyUSD
      Share Class reference currencyUSD
      BenchmarkMSCI World SMID Cap USD ND
      Dividend Policydistribution
      Total Assets (all classes) in mnUSD 24.1830.04.2025
      Assets (share class) in mnUSD 24.1830.04.2025
      Number of positions4631.10.2022
      TER0.53%30.09.2024

      Documents

      Key Information Document
      English (pdf)
        Fact Sheet (marketing document)
        English (pdf)
          Sustainability-related disclosures
          English (pdf)

            Risk rating

            Lower riskHigher risk
            1
            1
            2
            2
            3
            3
            4
            4
            5
            5
            6
            6
            7
            7
            Typically lower rewardTypically higher reward
            Past performance is not a guarantee of future results. If the funds are denominated in a currency other than that in which the majority of the investor's assets are held, the investor should be aware that changes in rates of exchange may affect the value of the funds' underlying assets. The portfolio risk management process includes an effort to monitor and manage risk, but does not imply low risk.
            • Performance & Statistics
            • Highlights
            • Breakdowns
            • Managers
            • Legal information
            • Dealing
            • Security Numbers
            • Prices
            • Documents

            Performance & Statistics

            Rolling 12 months Performance (%)Cumulative performance (%)Annualised performance (%)
            Loading...
            As of 
            Share Class (Net)
            Benchmark
            Sorry, we could not retrieve the data for this share class.
            Any benchmarks/indices cited herein are provided for information purposes only. No benchmark/index is directly comparable to the investment objectives, strategy or universe of a fund.
            Loading...
            As of 
            Share Class (Net)
            Benchmark
            Sorry, we could not retrieve the data for this share class.
            Any benchmarks/indices cited herein are provided for information purposes only. No benchmark/index is directly comparable to the investment objectives, strategy or universe of a fund.
            Loading...
            As of 
            Share Class (Net)
            Benchmark
            Sorry, we could not retrieve the data for this share class.
            Any benchmarks/indices cited herein are provided for information purposes only. No benchmark/index is directly comparable to the investment objectives, strategy or universe of a fund.
            Since launch
            • 1 month
            • 3 months
            • 6 months
            • 1 year
            • 3 years
            • 2025 YTD
            • 2024 YTD
            • 2023 YTD
            • 2022 YTD
            • Since launch
            • Custom
            Export
            pdfjpgpngsvg
            csvxls
            FundBenchmark
            Total Return-11.46%9.03%
            Annualized Return-3.51%2.57%
            Annualized Volatility18.23%18.38%
            Sharpe Ratio-0.44-0.11
            Downside Deviation13.73%12.89%
            Positive Months47.62%50.00%
            Maximum Drawdown-29.31%-27.10%
            *  Risk-Free Rate 4.52%Target Rate 4.52%
            Calculations based on monthly time series
            Earliest Date: 22.12.2021, Latest date: 13.05.2025
            Fund vs Benchmark
            Correlation0.961
            R20.923
            Alpha-0.48%
            Beta0.952
            Tracking Error5.14%
            Information Ratio-1.154

            Key risks

            The following risks may be materially relevant

            but may not always be adequately captured by the synthetic risk indicator and may cause additional loss:


             
            Concentration risk: To the extent that the fund's investments are concentrated in a particular country, market, industry, sector or asset class, the fund may be susceptible to loss due to adverse occurrences affecting that country, market, industry, sector or asset class.
             
            Emerging market risk: Significant investment in emerging markets may expose to difficulties when buying and selling investments. Emerging markets are also more likely to experience political uncertainty and investments held in these countries may not have the same protection as those held in more developed countries.
             
            Active management risk: Active management relies on anticipating various market developments and/or security selection. There is a risk at any given time that the fund may not be invested in the highest-performing markets or securities. The fund's net asset value may also decline.
             

             

            Highlights

            LOF IV - Environmental & Sustainable Opportunities is actively managed.

             

            It invests in equity issued by companies worldwide (including Emerging Markets) whose growth will benefit from regulations, innovations, services or products related to the global fight against or adaptation to climate change and/or favoring the transition to a more circular economy and to an economy that values natural capital. It may also invest bonds, other fixed or floating-rate debt securities and short-term debt securities of corporate, sovereign and/or supranational issuers (including Emerging Markets issuers), graded not below BB- and denominated in any currencies (including Emerging Market currencies). The Portfolio Manager will particularly focus on issuers which are believed to align to climate transition and demonstrate gender equality.

             

            It seeks to invest in high quality companies with sustainable financial models, business practices and business models showing resilience and the ability to evolve and benefit from long term structural trends using LOIM proprietary ESG and Sustainability Profiling tools and methodologies. 

             

            The Investment Manager is authorized to use financial derivative instruments for hedging purposes or for EPM but not as part of the investment strategy.

            Breakdowns

            March 2025

              Top 10 (in %)

              Republic Services Inc0.00% 3.41%
              Danone0.00% 3.27%
              American Water Works0.00% 3.15%
              Kerry Group0.00% 2.91%
              Corteva Wi0.00% 2.88%
              Crown Holdings0.00% 2.81%
              Heidelberg Materials0.00% 2.79%
              United Rentals0.00% 2.74%
              Xylem0.00% 2.70%
              Smurfit Westrock Limited0.00% 2.69%

              Sectors (in %)

              Industrials0.00% 31.78%
              Materials0.00% 17.33%
              Information technology0.00% 15.26%
              Consumer staples0.00% 10.17%
              Utilities0.00% 8.20%
              Health care0.00% 7.92%
              Consumer discretionary0.00% 6.84%
              Others0.00% 2.50%

              Countries (in %)

              United States0.00% 63.93%
              Japan0.00% 7.53%
              France0.00% 7.48%
              Others0.00% 4.46%
              Canada0.00% 4.02%
              Ireland0.00% 2.91%
              Germany0.00% 2.79%
              Cash0.00% 2.50%
              Sweden0.00% 2.24%
              Denmark0.00% 2.14%

              Currencies (in %)

              USD0.00% 65.60%
              EUR0.00% 16.32%
              JPY0.00% 7.57%
              GBP0.00% 2.69%
              SEK0.00% 2.24%
              DKK0.00% 2.14%
              TWD0.00% 2.11%
              HKD0.00% 1.33%

              Managers

              Conor WalshInvestment Long Only - Global Equities
              Read more
              Conor Walsh is a Portfolio Manager at LOIM. Conor joined Lombard Odier Investment Managers (LOIM) in May 2022 and has been managing portfolios for over 10 years. Conor is Co-Portfolio Manager for LO Natural Capital and LO Biodiverity funds. Previously, he worked at Sanlam Investment in London from 2010 to 2021, as an analyst and fund manager. While at Sanlam, he helped raise >$800M in assets for a top decile North American equity franchise, including both long-only and long-short strategies. Conor began his career at Bank of America from 2007 to 2010, as an investment banking analyst. Conor holds a bachelor of arts in Mathematics and Economics from Trinity College, Dublin. He is also a CFA charterholder.
              Paul Udall
              Read more
              Paul is a portfolio manager in the LOIM’s global equities division. Paul joined Lombard Odier Investment Managers (LOIM) in September 2019 and has been managing global sustainability portfolios for 18 years. Previously worked four years at Temporis Capital where he served as partner since 2013. Prior to this, Paul was the investment director at GAM from 2010 to 2013, managing director of Climate Change Capital from 2007 to 2010, portfolio manager at Aviva Investors from 2002 to 2006 and equity analyst at AXA Investment Managers from 1998 to 2002. Paul started investing in clean technology companies in 2002 and has been following the climate transition solutions space for 18 years covering renewable energy. From 2010 to 2018, Paul managed money for the Norwegian Sovereign Wealth Fund (Norges). Paul helped build their global Environmental strategy specifically targeting the climate transition for the fund. Paul holds a master in investment analysis from the University of Stirling and a BSC in account and finance from University of East Anglia.

              Legal information

              General information

              DomicileLuxembourg
              Legal FormSICAV - SIF
              Regulatory StatusAIF
              Class launch date22.12.2021
              Close of financial year30 September
              Dividend Policydistribution
              - Distribution dateNovember
              - Last dividend paid  (27.11.2024) USD 0.06

              Fiscal Information

              DE Investmentsteuergesetz (InvStG)Not Classified
              AT Investmentfondsgesetz (InvFG)Non-declared Fund
              UK Reporting StatusYes

              Management Company & Agents

              Management CompanyLombard Odier Funds (Europe) S.A.
              CustodianCACEIS Bank, Luxembourg Branch
              AuditorPricewaterhouseCoopers
              Portfolio valuationCACEIS Bank, Luxembourg Branch

              Dealing

              Dealing

              Subscriptions and redemptions frequency daily
              Subscriptions and redemptions cut-off dayT-1
              Subscriptions and redemptions cut-off time15:00 CET
              Subscriptions and redemptions settlement dateT+2
              NAV valuation pointT
              NAV calculation dayT+1
              NAV calculation frequencydaily
              Minimum InvestmentUSD 1'000'000
              Management Fee0.45%
              Distribution Fee0.00%

              Security Numbers

              ISINLU2407909980
              SEDOLBPBMMZ8
              TELEKURS114772579

              Prices

              Since launch
              • 1 month
              • 3 months
              • 6 months
              • 1 year
              • 3 years
              • 2025 YTD
              • 2024 YTD
              • 2023 YTD
              • 2022 YTD
              • Since launch
              • Custom
              Export

              Prices over selected period

              LastUSD0.008.6114.05.2025
              FirstUSD0.009.7322.12.2021
              HighestUSD0.009.9704.01.2022
              LowestUSD0.007.0112.10.2022
              * Earliest Date: 22.12.2021, Latest date: 14.05.2025

              Documents

              Reporting

              Fact Sheet (marketing document)
              30.04.2025
              English (pdf)

                Legal Documents

                Key Information Document
                28.01.2025
                English (pdf)

                  Sustainability-related disclosures

                  Sustainability-related disclosures
                  05.08.2024
                  English (pdf)

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