Contango Global Growth Limited’s investment objective is to seek quality growth businesses with high returns on invested capital, superior growth prospects and low or no debt. The Portfolio’s Benchmark is the MSCI All Country World Index ex-Australia with gross dividends reinvested reported in Australian Dollars and unhedged. The Company’s Investment Strategy is to have an actively managed long only global equities Portfolio invested in listed securities of developed and emerging markets, with the exclusion of investments in Australian securities. The Investment Strategy will take a high conviction, active approach. It is anticipated that the Portfolio will be concentrated across 20 – 40 high quality global growth companies. The Portfolio will be further diversified across global sub-sectors and countries, both developed market and emerging market, based upon the rigorous bottom-up analysis undertaken by the Adviser. Up to 7% of the Portfolio Value may be held in cash or cash equivalents from time to time.
Fundamental metrics to determine fair value of the stock
Company’s recent performance and margins
Dividend yield, history and sustainability
Financial position and solvency of the company