The GMO SGM Major Markets Investment Fund’s investment objective is long-term total return. Over a complete market cycle, the Fund seeks annualized returns of 5% (gross of fees) above the FTSE 3-Month Treasury Bill Index with annualized volatility (standard deviation) of approximately 6-10%. The Fund takes both long and short positions in a range of global equity, bond, currency, and commodity markets using exchange-traded futures and forward foreign exchange contracts, as well as by making other investments.

The Systematic Global Macro team’s investment process systematically applies value and sentiment strategies across global markets. We believe that markets are inefficient but, in the long term, that economic reality will prevail and markets will revert toward fair value; however, the timing of this is uncertain. We aim to profit from mean reversion by buying markets that we believe are depressed in price and shorting markets that we believe are trading at inflated values. To deal with the uncertainty of timing, we model investor sentiment. Using sentiment helps us avoid buying inexpensive assets too early and closing winning positions too quickly.


Doc Table
Fund Inception Date February 1, 2017
Fund Total Assets as of 30/09/2021 $80mm USD
Benchmark FTSE 3-Mo. TBill

USD Class E





Fact Sheet Download
Prospectus Download
Prospectus - Austrian Wrapper Dec 2018 Download
Prospectus - First Supplement Download
Prospectus - Fourth Supplement Download
Prospectus - Second Supplement Download
Prospectus - Singapore Wrapper July 2021 Download
Prospectus - Third Supplement Download
Prospectus - UAE Wrapper Dec 2018 Download
Prospectus - Abu Dhabi Global Market Wrapper Dec 2018 Download
Prospectus - DIFC Wrapper Dec 2018 Download
Prospectus - DIFC Wrapper Feb 2018 Download
Prospectus - UK Country Supplement - Mar 2021 Download
KIIDs - EUR Download
KIIDs - GBP Download
KIIDs - USD Download
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Performance Download
Portfolio Composition Download
Holdings Download
Exposures - Detailed Download
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Commentary & Attribution

Commentary - Monthly Download
Commentary - Quarterly Download
Attribution - Monthly Download
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Investor Information


Risks associated with investing in the Fund may include Management and Operational Risk, Market Risk - Equity Securities, Currency Risk, Commodities Risk, and Futures Contracts Risk. For a more complete discussion of these risks and others, please consult the Fund's prospectus.


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