Luxury Fund
Fund Launch
Jun 2007
Performance YTD
-6.91%
Performance Since Launch
+87.43%
Overview
Luxuries are goods and services which consumers use their disposable income to purchase. Demand for luxuries grows disproportionately with wealth and as global wealth increases, particularly in emerging markets, the outlook for luxuries demand is strong.
The Global Trends Luxury Consumer Fund seeks to achieve medium to long-term growth for investors by investing in the global companies in the luxury or discretionary spending sector. The Fund’s portfolio typically includes well-known global luxury brands which have appeal to both wealthy or affluent consumers, and provide exposure to global trends in luxury consumption, including those driven by developing markets.
Specs
Currencies
  • {{currency}}
  • Fund Name

    Sankofa Global Trends – Luxury Fund, a sub fund of Sankofa Global Trends SICAV p.l.c.

  • Launch Date

    {{launchDate}}

  • Investment Manager

    Sankofa Investment Management (Guernsey) Limited, Guernsey, Channel Islands. Sankofa Investment Management is regulated by the Guernsey Financial Services Commission.

  • Investment Advisor

    Sankofa Investment Management (Guernsey) Limited, Guernsey, Channel Islands. Sankofa Investment Management is regulated by the Guernsey Financial Services Commission. Sankofa Investment Management appointed Sankofa Investment Management (Guernsey) Limited as investment advisor to their Maltese and Guernsey fund ranges. Under the arrangement, Sankofa Investment Management (Guernsey) Limited will undertake research on asset selection; provide asset allocation recommendations, provide investment advice, policy guidance and assistance on the development of the overall strategy for the investment of assets in accordance with the funds’ investment objectives, strategies and restrictions.

  • Overlay Manager

    Edmond De Rothschild Asset Management (France).

  • Fund Structure

    Sankofa Global Trends SICAV p.l.c. is a UCITS compliant umbrella structure with multiple sub-funds.

  • Regulation

    Sankofa Global Trends SICAV p.l.c., regulated by the Malta Financial Services Authority, the Fund is recognised by Monetary Authority in Singapore and in the UK with Financial Conduct Authority reference number 532412 (for certain share classes only, please refer to the Prospectus and relevant Offering Supplement for details).

Trading Frequencies
Share Class GBP IC GBP I GBP B GBP R GBP C
Frequency Daily Daily Daily Daily Daily
Switching Yes Yes Yes Yes No
Fund Charges
Share Class2.1% GBP IC GBP I GBP B GBP R GBP C
Initial Charge Up to 6.5% 0% Up to 6.5%
incorporated into the
Subscription Price
Up to 5%
of the
subscription amount
0%
Annual Charge 2.10% 1.00% 2.10% 1.50% 2.10%
Switching Charge No No No No No
Performance Fee No No No No No
Exit Charge No No No No Yes
Minimum Investment
Share Class GBP IC GBP I GBP B GBP R GBP C
Minimum Investment 2,500 500,000* 2,500 2,500 2,500

 

*Smaller amounts may be accepted from Institutional Investors at Directors discretion.

Dealing and Tracking Codes
Share Class GBP IC GBP I GBP B GBP R GBP C
ISN Code MT7000004032 MT7000004073 MT7000012142 MT7000004024 MT7000019667
Bloomberg Ticker DOMCHSI MV DOMCHGI MV DOMCHGB MV DGTCHGR MV DOMLCCG MV
SEDOL B677XM8 B7H11H8 BRB31D6 B7L6ZW2 BF47175MT7000004032
EMX Participant ID DOMIN/CHIC GBP IC DOMIN/CHIC GBP I DOMIN/CHIC GBP B DOMIN/CHIC GBP R
DOMIN/CHIC GBP C

Trading Frequencies
Share Class EUR IC EUR I EUR B EUR C
Frequency Daily Daily Daily Daily
Switching Yes Yes Yes Yes
Fund Charges
Share Class EUR IC EUR I EUR B EUR C
Initial Charge Up to 6.5% 0% Up to 6.5% incorporated into the Subscription Price  0%
Annual Charge 2.10% 1.00% 2.10% 2.10%
Switching Charge No No No No
Performance Fee No No No No
Exit Charge No No No Yes
Minimum Investment
Share Class EUR IC EUR I EUR B EUR C
Minimum Investment 2,500 500,000* 2,500 2,500

 

*Smaller amounts may be accepted from Institutional Investors at Directors discretion.

Dealing and Tracking Codes
Share Class EUR IC EUR I EUR B EUR C
ISN Code MT70000004115 MT7000004040 MT7000005898 MT7000012753
Bloomberg Ticker DOMCHEI MV DOMCHIE MV DGTCNEB MV DGTCNEC MV
SEDOL B3KJXY2 B767Z20 B7T2Q18 BSTLDZ5
EMX Participant ID DOMIN/CHIC
EUR IC
DOMIN/CHIC
EUR I
DOMIN/CHIC
EUR B
DOMIN/CHIC
EUR C
Trading Frequencies
Share Class USD IC USD DC USD I USD B USD BH USD C
Frequency Daily Daily Daily Daily Daily Daily
Switching Yes Yes Yes Yes Yes Yes
Fund Charges
Share Class USD IC USD DC USD I USD B USD BH USD C
Initial Charge Up to 6.5% 0% 0% Up to 6.5%
incorporated
into the
Subscription Price
Up to 6.5%
incorporated
into the
Subscription Price
0%
Annual Charge 2.10% 2.10% 1.00% 2.10% 2.10% 2.10%
Switching Charge No No No No 0.02% No
Performance Fee No No No No No No
Exit Charge No Yes No No No Yes
Minimum Investment
Share Class USD IC USD DC USD I USD B USD BH USD C
Minimum Investment 2,500 2,500 500,000* 2,500 2,500 2,500

 

*Smaller amounts may be accepted from Institutional Investors at Directors discretion.

Dealing and Tracking Codes
Share Class USD IC USD DC USD I USD B USD BH USD C
ISN Code MT7000004099 MT7000004081 MT7000004016 MT7000005906 MT7000014700 MT7000012761
Bloomberg Ticker DOMCHUI MV DOMCHUD MV DOMCHIU MV DGTCNUB MV DLXCUBH MV DGTCNUC MV
SEDOL B3Q2PW7 B68KVK0 B7KP3W6 B7W32R6 BYPK347 BSTLF04
EMX Participant ID DOMIN/CHIC
USD IC
DOMIN/CHIC
USD DC
DOMIN/CHIC
USD I
DOMIN/CHIC
USD B
DOMIN/CHIC
USD BH
DOMIN/CHIC
USD C

Administrator

Zeta Fund Services Limited, Third Floor, La Plaiderie Chambers, La Plaiderie, St Peter Port, Guernsey, GY1 1WG

Tel: +44 1481 704862 | Fax: +44 2075 043700 | investor@zeta-fs.com

Custodian

Swissquote Financial Services (Malta) Limited, Pendergardens, St. Andrew’s Street, St Julian’s STJ 1901 Malta

Correspondence & Queries

Zeta Fund Services Limited, Third Floor, La Plaiderie Chambers, La Plaiderie, St Peter Port, Guernsey, GY1 1WG

Tel: +44 1481 704862 | Fax: +44 2075 043700 | investor@zeta-fs.com

The state of the origin of the Fund is Malta. This document may only be distributed in or from Switzerland to qualified investors within the meaning of Art. 10 Para. 3, 3bis and 3ter CISA. The Representative in Switzerland is Waystone Fund Services SA, Av Villamont 17, 1005 Lausanne, Switzerland, whilst the Paying Agent is Banque Cantonale Vaudoise, Place St-François, CH-1003 Lausanne. In respect of the units distributed in or from Switzerland, the place of performance and jurisdiction is at the registered office of the Swiss representative. The basic documents of the Fund as well as the annual and, if applicable, semi-annual report may be obtained free of charge at the registered office of the Swiss Representative.

Key Documents
Fund Fact Sheets - July 2026
Our Fund Fact Sheets offer a monthly update of the most recent performance of the fund, geographical exposure, sector allocation and includes all relevant fund information you need to keep informed.
Please select a currency
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Top 5 performers (1 month % Return)
  • +16.54%
    Nintendo
  • +9.62%
    Interactive Brokers
  • +7.17%
    Ferrari
  • +6.59%
    Uber
  • +3.83%
    Ulta Beauty
Top 10 Equity Holdings (% AUM)
  • 9.34%
    Richemont
  • 7.02%
    L'Oreal
  • 6.96%
    LVMH
  • 6.54%
    Ferrari
  • 4.97%
    Interactive Brokers
  • 4.32%
    American Express
  • 4.19%
    ASML
  • 3.97%
    Visa
  • 3.71%
    Nintendo
  • 3.51%
    TJX Companies
Fund Performance and Prices as at: {{performanceData.Date}}
Fund Share Price 1 Month 3 Months YTD 1 Year 3 Years 4 Years 5 Years Launch
{{fund.Name}} {{fund.Price}} {{fund.Month1}} {{fund.Month3}} {{fund.YTD}} {{fund.Year1}} {{fund.Year3}} {{fund.Year4}} {{fund.Year5}} {{fund.Launch}}
Calendar Year Performance
  2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Performance -6.41% 11.00% 14.04% -20.90% 15.29% 9.59% 38.78% -10.30% 7.00% -5.55% 2.84%

*Performance to the Euro IC share classes as at the publication date. Performance data supplied by Zeta Fund Services Limited.

  2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Performance 3.78% 2.54% 15.74% -27.84% 5.70% 17.4% 33.39% -15.79% 19.96% -9.87% -8.76%

*Performance to the USD IC share classes as at the publication date. Performance data supplied by Zeta Fund Services Limited.

  2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Performance -3.88% 4.37% 9.94% -18.03% 6.72% 13.85% 28.37% -10.78% 9.34% 7.81% -4.00%

*Performance to the GBP IC share classes as at the publication date. Performance data supplied by Zeta Fund Services Limited.

Geographic & Sector Distribution
Sector Allocation
62.95%
Consumer Growth Trends
8.1%
Digital Content
8.63%
Fintech
1.55%
Future Mobility
3.84%
Longevity
5.42%
Longevity Consumer
5.16%
Niche Trends
4.36%
The Semis Supply Chain
Geographical Distribution of Holdings
58.92%
Europe
33.67%
America
7.42%
Asia
PRIIPs performance scenarios
Please select a fund
Scenarios - Investment {{currency}} 10,000 1 year 5 years