About Global evolution
Global Evolution: Investing in Emerging and Frontier Markets
Global Evolution is a boutique investment manager that specializes in emerging and frontier markets. With a focus on innovation, the company has developed an approach to investing that is both unique and effective. In this article, we will explore the history of Global Evolution, their investment philosophy, and how they have become one of the leading firms in their field.
History
Global Evolution was founded in 2007 by two Danish entrepreneurs, Søren Rump and Morten Bugge. The company was established with the goal of providing investors with access to emerging markets through a range of specialized funds. Since its inception, Global Evolution has grown rapidly and now manages over $3 billion in assets.
Investment Philosophy
At Global Evolution, the investment philosophy is centered around three key principles: diversification, risk management, and sustainability. By diversifying across multiple asset classes within emerging markets, they aim to reduce risk while maximizing returns for investors.
Risk management is also a critical component of their approach. They use proprietary models to assess risk at both the country and company level before making any investments. This allows them to identify potential risks early on and take appropriate action to mitigate them.
Finally, sustainability is an essential part of Global Evolution's investment strategy. They believe that companies with strong environmental, social or governance (ESG) practices are more likely to outperform over time than those without such practices.
Investment Products
Global Evolution offers several different investment products designed for different types of investors:
1) Frontier Markets Fund - This fund invests primarily in countries classified as frontier markets by MSCI (Morgan Stanley Capital International). These are typically smaller economies with less developed financial systems than emerging markets but offer higher growth potential.
2) Emerging Markets Fund - This fund invests primarily in countries classified as emerging markets by MSCI. These are typically larger economies with more developed financial systems than frontier markets but still offer significant growth potential.
3) Blended Fund - This fund invests in both frontier and emerging markets, providing investors with exposure to a broader range of markets.
4) Sustainable Emerging Markets Fund - This fund invests in companies that have strong ESG practices and are located in emerging markets. The goal is to provide investors with exposure to companies that are likely to outperform over time due to their sustainable practices.
Performance
Global Evolution has a strong track record of performance across all of its investment products. For example, the Frontier Markets Fund has delivered an annualized return of 9.5% since inception (as of June 30, 2021). The Emerging Markets Fund has delivered an annualized return of 10.7% since inception (as of June 30, 2021).
In addition to strong returns, Global Evolution's investment products have also demonstrated low volatility compared to their respective benchmarks. This is due in part to the company's focus on risk management and diversification.
Conclusion
Global Evolution is a leading boutique investment manager specializing in emerging and frontier markets. Their innovative approach to investing has allowed them to deliver strong returns while managing risk effectively. With a focus on diversification, risk management, and sustainability, Global Evolution is well-positioned for continued success in the years ahead.