Logotype for Staude Capital Global Value Fund Limited

Staude Capital Global Value Fund (GVF) Investor presentation summary

Event summary combining transcript, slides, and related documents.

Logotype for Staude Capital Global Value Fund Limited

Investor presentation summary

4 May, 2026

Performance overview

  • Achieved annualised returns over 10% with annualised volatility at 7%, after all fees and taxes as of March 2026.

  • $10,000 invested at inception grew to $31,459 if all returns were reinvested, $22,455 with half reinvested, and $13,450 if all returns were taken as income.

  • Outperformed Australian, US, and global shares on a risk-adjusted basis, with a Sharpe ratio of 1.12 and Sortino ratio of 2.22.

  • Delivered 11+ years of positive performance, with a compound annual growth rate (CAGR) of 11.4% since IPO.

  • Distributed grossed-up dividends of 87c per share since IPO, plus 3.9c in option value.

Investment strategy and portfolio

  • Focuses on capturing discounts and diversification across asset classes and currencies.

  • Portfolio allocation as of March 2026: 39% listed equity, 19% listed private equity, 13% listed infrastructure, 13% real estate, 6% debt, 6% aircraft leasing, and 4% other.

  • Currency exposures: 42% USD, 23% AUD, 21% EUR, 14% other.

  • Outperformance attributed to discount capture and active management.

Risk management and investing principles

  • Emphasizes risk management over return, advocating for position sizing based on percentage of wealth and never over-betting.

  • Demonstrates through betting strategies that risk management has a greater impact on long-term wealth than return maximization.

  • Encourages investors to consider their personal happiness curve when making investment decisions.

Partial view of Summaries dataset, powered by Quartr API
AI can get things wrong. Verify important information.
All investor relations material. One API.
Learn more