TGOIEAU ID
Thornburg Global Opportunities Fund (UCITS)
Morningstar Rating • Info
Overall Morningstar Rating among 5348 EAA Fund Global Large-Cap Blend Equity funds, based on risk-adjusted returns for class I Acc EUR shares, using a weighted average of the funds three-, five-, and ten-year ratings: respectively, 5 stars, 5 stars and 4 stars among 5348, 4258 and 2219 funds, as of 31 May 2026.
As of 31 May 2026
Fund Assets
$69.2 M
As of 31 May 2026
NAV
€12.22
As of 18 Jun 2026
Change
€-0.04
As of 18 Jun 2026
YTD NAV Performance
10.49%
As of 18 Jun 2026
Asset Category:
Global Equity
Fund Benchmark:
MSCI ACWI Index
Portfolio Managers
Vice Chairman, Chief Investment Strategist, Portfolio Manager and Managing Director
Portfolio Manager and Managing Director
An Introduction to
Global Opportunities
A focused global equity strategy designed to deliver long-term capital growth.
Overview
Fund Facts
Fund Facts
(As of 31 May 2026)Net Fund Assets
$69.2 M
Benchmark
MSCI ACWI Index
Morningstar Category
EAA Fund Global Large-Cap Blend Equity
Distribution Frequency
N/A
SFDR
Article 8
Share Class
I Acc EUR
Share Class Inception Date
29 Aug 2025
Fund Inception Date
11 Jan 2011
Bloomberg Ticker
TGOIEAU ID
ISIN
IE000T1T35A2
Cusip
G8850P580
SEDOL
0T1T35A
Characteristics
Characteristics
Portfolio
(As of 31 May 2026)Portfolio
Benchmark
Number of Holdings
40
—
Weighted Average Market Cap
$620.7 B
$1,095.3 B
Median Market Cap
$110.5 B
$19.3 B
Annual Portfolio Turnover
32%
—
Price to Earnings - Forward 1YR
13.0x
18.9x
Portfolio
Benchmark
Dividend Yield
1.8%
1.5%
Price to Earnings - Trailing 12 Months
17.6x
25.2x
Price to Cash Flow
10.1x
15.3x
Price to Book Value
2.6x
3.8x
Active Share
89.6%
—
Risk & Return Profile
Risk & Return Profile
(As of 31 May 2026)3y
5y
10y
Annualized Alpha (%)
5.08
2.61
-0.42
Beta
0.87
0.88
1.02
R-Squared (%)
76.11
81.28
82.75
Standard Deviation (%)
12.64
14.57
16.51
Sharpe Ratio
1.60
0.63
0.60
Information Ratio
0.43
0.21
-0.07
Tracking Error (%)
6.38
6.55
6.86
Up Capture (%)
98.92
92.22
100.00
Down Capture (%)
74.89
80.51
102.66
Portfolio
Portfolio
Top Holdings
(As of 30 Apr 2026)Name
Ticker/Symbol
Sector
Weight %
Samsung Electronics Co. Ltd.
005930
Information Technology
5.6
Alphabet, Inc.
GOOGL
Communication Services
5.3
Contemporary Amperex Technology Co. Ltd.
300750
Industrials
4.3
Zegona Communications plc
ZEG
Communication Services
4.2
Eli Lilly & Co.
LLY
Health Care
3.7
Taiwan Semiconductor Manufacturing Co. Ltd.
2330
Information Technology
3.3
The Charles Schwab Corp.
SCHW
Financials
3.0
Adobe, Inc.
ADBE
Information Technology
2.9
Bank of Ireland Group plc
BIRG
Financials
2.9
Orange S.A.
ORA
Communication Services
2.8
Exposure Breakdown
Exposure Breakdown
(As of 31 May 2026)Sector Allocation
Fund (%)
Communication Services
20.1
Information Technology
16.3
Cash & Equivalents
14.7
Financials
11.9
Consumer Discretionary
10.6
Industrials
10.0
Health Care
5.0
Energy
4.4
Materials
4.2
Consumer Staples
2.8
Utilities
0.0
Real Estate
0.0
Top 10 Industries
Fund (%)
Media & Entertainment
10.4
Telecommunication Services
9.7
Technology Hardware & Equipment
7.3
Banks
6.9
Capital Goods
6.2
Software & Services
5.6
Consumer Services
5.5
Pharmaceuticals, Biotechnology & Life Sciences
5.0
Energy
4.4
Materials
4.2
Top 10 Countries
Fund (%)
United States
29.7
France
8.7
China
8.6
Korea, Republic of (South Korea)
7.3
Germany
5.3
United Kingdom
5.2
Taiwan
4.2
Hong Kong
3.3
Ireland
2.7
Australia
2.2
Capitalization
Fund (%)
Large Cap (> $12 B)
82.8
Mid Cap ($2.5 to $12 B)
14.5
Small Cap (< $2.5 B)
2.7
Portfolio Managers
Portfolio Managers
Brian McMahon
Vice Chairman, Chief Investment Strategist, Portfolio Manager and Managing Director
Brian McMahon is chief investment strategist and a portfolio manager 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;…
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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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