Thornburg Global Opportunities Fund
        SYMBOL: THOIX
    
                    
            Morningstar Rating			 • Info
            
                
    
    
        
        
            
        
        Overall Morningstar Rating among 308 World Large-Stock Blend funds, based on risk-adjusted returns for class I shares, using a weighted average of the funds three-, five-, and ten-year ratings: respectively, 5 stars, 5 stars and 3 stars among 308, 296 and 205 funds, as of 30 Sep 2025.
As of 30 Sep 2025
    Fund Assets
        $1.5 B
        As of 30 Sep 2025
    NAV
        $48.22
        As of 3 Nov 2025
    Change
        $0.02
        As of 3 Nov 2025
    YTD NAV Performance
        33.31%
        As of 3 Nov 2025
    Asset Category: 
        Global Equity
    Fund Benchmark: 
        MSCI ACWI Index
    Portfolio Managers
Vice Chairman, Chief Investment Strategist and Managing Director
            Portfolio Manager and Managing Director
            Overview
    Performance
    Performance
Returns
(As of 30 Sep 2025)2019
2020
2021
2022
2023
2024
    Total Return (%)
        
    28.76
22.66
14.75
-10.08
16.25
13.08
MSCI ACWI Index (%)
        
    26.60
16.25
18.54
-18.36
22.20
17.49
Fund Fees
    Fund Fees
(As of 1 Feb 2025)
                                Gross Expense Ratio (%)
                            
                            
                                1.08                            
                        
                                Net Expense Ratio (%)
                            
                            
                                0.99                            
                        Hypothetical Growth of $10,000
    Hypothetical Growth of $10,000
(As of 31 Oct 2025)
                (Hypothetical Growth of $10,000 vs MSCI ACWI Index)
            
                
                        Distributions
    Distributions
(As of 19 Dec 2024)Ex-Date
        Payable Date
        Total ($)
        Income ($)
        ST Cap Gains ($)
        LT Cap Gains ($)
    17 Nov 2006
    17 Nov 2006
    0.15686
    —
    0.15686
    0.00000
26 Dec 2006
    31 Dec 2006
    0.01075
    0.01075
    —
    —
19 Nov 2007
    19 Nov 2007
    0.53883
    —
    0.48583
    0.05300
26 Dec 2007
    31 Dec 2007
    0.08122
    0.08122
    —
    —
26 Jun 2008
    30 Jun 2008
    0.14744
    0.14744
    —
    —
26 Dec 2008
    31 Dec 2008
    0.32995
    0.32995
    —
    —
26 Jun 2009
    30 Jun 2009
    0.16349
    0.16349
    —
    —
25 Sep 2009
    30 Sep 2009
    0.19092
    0.19092
    —
    —
24 Dec 2009
    31 Dec 2009
    0.07706
    0.07706
    —
    —
24 Sep 2010
    30 Sep 2010
    0.15116
    0.15116
    —
    —
27 Dec 2010
    31 Dec 2010
    0.15882
    0.15882
    —
    —
24 Jun 2011
    30 Jun 2011
    0.08475
    0.08475
    —
    —
23 Dec 2011
    31 Dec 2011
    0.24736
    0.24736
    —
    —
28 Sep 2012
    30 Sep 2012
    0.00000
    0.00000
    —
    —
24 Dec 2012
    31 Dec 2012
    0.18371
    0.18371
    —
    —
24 Sep 2013
    30 Sep 2013
    0.12965
    0.12965
    —
    —
24 Dec 2013
    31 Dec 2013
    0.07554
    0.07554
    —
    —
24 Sep 2014
    30 Sep 2014
    0.08706
    0.08706
    —
    —
24 Dec 2014
    31 Dec 2014
    0.01462
    0.01462
    —
    —
24 Dec 2015
    31 Dec 2015
    0.14985
    0.14985
    —
    —
24 Jun 2016
    30 Jun 2016
    0.06467
    0.06467
    —
    —
26 Sep 2016
    30 Sep 2016
    0.06671
    0.06671
    —
    —
23 Dec 2016
    31 Dec 2016
    0.08397
    0.08397
    —
    —
24 Mar 2017
    31 Mar 2017
    0.02942
    0.02942
    —
    —
23 Jun 2017
    30 Jun 2017
    0.06224
    0.06224
    —
    —
22 Sep 2017
    30 Sep 2017
    0.02047
    0.02047
    —
    —
22 Dec 2017
    31 Dec 2017
    0.10180
    0.10180
    —
    —
21 Dec 2018
    31 Dec 2018
    0.65217
    0.65217
    —
    —
14 Nov 2019
    14 Nov 2019
    0.28174
    —
    0.00000
    0.28174
20 Dec 2019
    31 Dec 2019
    0.23163
    0.23163
    —
    —
19 Nov 2020
    19 Nov 2020
    2.30329
    —
    0.68813
    1.61516
17 Dec 2020
    31 Dec 2020
    0.08510
    0.08510
    —
    —
18 Nov 2021
    18 Nov 2021
    4.54624
    —
    0.00000
    4.54624
16 Dec 2021
    31 Dec 2021
    0.59076
    0.59076
    —
    —
17 Nov 2022
    17 Nov 2022
    0.78534
    —
    0.00000
    0.78534
15 Dec 2022
    31 Dec 2022
    0.44930
    0.44930
    —
    —
16 Nov 2023
    16 Nov 2023
    1.19547
    —
    0.17333
    1.02214
14 Dec 2023
    31 Dec 2023
    0.73259
    0.73259
    —
    —
21 Nov 2024
    21 Nov 2024
    0.97178
    —
    0.06433
    0.90745
19 Dec 2024
    31 Dec 2024
    1.09041
    1.09041
    —
    —
Fund Facts
    Fund Facts
(As of 30 Sep 2025)Net Fund Assets
    $1.5 B
Benchmark
    MSCI ACWI Index
Morningstar Category
    World Large-Stock Blend
Fund Symbol
    THOIX
Share Class
    I
Share Class Inception Date
    28 Jul 2006
Distribution Frequency
    Annually
Characteristics
    Characteristics
Portfolio
(As of 30 Sep 2025)Portfolio
                Benchmark
            Number of Holdings
    
    40
    —
Weighted Average Market Cap
    
    $422.7 B
    $905.6 B
Median Market Cap
    
    $133.9 B
    $17.0 B
Annual Portfolio Turnover
    
    15%
    —
Price to Earnings - Forward 1YR
    
    15.4x
    20.8x
Portfolio
                Benchmark
            Price to Earnings - Trailing 12 Months
    
    19.9x
    24.0x
Price to Cash Flow
    
    7.9x
    14.3x
Price to Book Value
    
    2.0x
    3.5x
Active Share
    
    91.3%
    —
Risk & Return Profile
    Risk & Return Profile
(As of 30 Sep 2025)3y
                                            5y
                                            10y
                                        Annualized Alpha (%)
                        3.44
3.98
-0.11
                    Beta
                        0.96
0.92
1.01
                    R-Squared (%)
                        75.52
81.36
81.57
                    Standard Deviation (%)
                        13.67
15.11
16.26
                    Sharpe Ratio
                        1.54
0.90
0.58
                    Information Ratio
                        0.43
0.47
-0.05
                    Up Capture (%)
                        100.31
97.22
98.94
                    Down Capture (%)
                        78.29
78.38
100.24
                    Portfolio
    Portfolio
Top Holdings
(As of 30 Sep 2025)Name
            Ticker/Symbol
            Sector
            Weight %
        Alphabet, Inc.
    GOOGL
    Communication Services
    5.5
Zegona Communications plc
    ZEG
    Communication Services
    5.1
Citigroup, Inc.
    C
    Financials
    4.3
Samsung Electronics Co. Ltd.
    005930
    Information Technology
    4.1
Alibaba Group Holding Ltd.
    BABA
    Consumer Discretionary
    4.1
Orange S.A.
    ORA
    Communication Services
    4.0
Bank of Ireland Group plc
    BIRG
    Financials
    4.0
Meta Platforms, Inc.
    META
    Communication Services
    4.0
Taiwan Semiconductor Manufacturing Co. Ltd.
    2330
    Information Technology
    4.0
BNP Paribas S.A.
    BNP
    Financials
    3.7
Exposure Breakdown
    Exposure Breakdown
(As of 30 Sep 2025)Sector Allocation
            Fund (%)
        
            Communication Services        
    27.1
            Financials        
    19.4
            Consumer Discretionary        
    14.4
            Information Technology        
    11.3
            Industrials        
    9.9
            Energy        
    6.5
            Materials        
    3.4
            Consumer Staples        
    2.9
            Cash & Cash Equivalents        
    2.7
            Health Care        
    2.3
            Real Estate        
    0.0
            Utilities        
    0.0
Top 10 Industries
            Fund (%)
        
            Telecommunication Services        
    14.6
            Media & Entertainment        
    12.5
            Banks        
    12.0
            Energy        
    6.5
            Capital Goods        
    6.3
            Consumer Discretionary Distribution & Retail        
    5.8
            Consumer Services        
    5.3
            Financial Services        
    4.7
            Technology Hardware & Equipment        
    4.1
            Semiconductors & Semiconductor Equipment        
    4.0
Top 10 Countries
            Fund (%)
        
            United States        
    33.4
            France        
    10.9
            China        
    10.6
            United Kingdom        
    8.7
            Taiwan        
    4.6
            Germany        
    4.5
            Hong Kong        
    4.1
            Korea, Republic of (South Korea)        
    4.1
            Ireland        
    4.0
            India        
    2.8
Capitalization
            Fund (%)
        
            Large Cap (> $12 B)        
    89.1
            Mid Cap ($2.5 to $12 B)        
    8.4
            Small Cap (< $2.5 B)        
    2.6
Portfolio Managers
    Portfolio Managers
Brian McMahon
Vice Chairman, Chief Investment Strategist and Managing Director
                                                            Brian McMahon is chief investment strategist for Thornburg Investment Management. Brian is deeply respected for his market and investment insight and serves as a key voice for the investment team and Thornburg clients. He also co-manages Thornburg’s global equity portfolios and serves as vice chairman of Thornburg. Brian joined Thornburg in 1984 as chief investment officer; a role he held…
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                        Miguel Oleaga
Portfolio Manager and Managing Director
                                                            Miguel Oleaga is a portfolio manager for Thornburg Investment Management. He joined the firm in 2014 as an equity research analyst, was promoted to associate portfolio manager in 2017, and was named portfolio manager in 2018. Miguel holds a BS in business administration (finance and management specialties) from the University of Massachusetts. Prior to his joining Thornburg, Miguel worked at…
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