Overview

The WCM Quality Global Growth Fund (Managed Fund) (the Fund) is an Australian registered managed investment scheme investing in global equities.

The Fund provides investors with access to an actively managed portfolio of quality global companies found primarily in the high growth Consumer, Technology and Health Care sectors.

The portfolio is managed by WCM Investment Management, LLC (WCM), a leading global equities specialist based in California. Founded in 1976, WCM is trusted globally with over A$176 billion (as at 31 December 2025) in assets under management. The firm is owned by its employees who have a fundamental belief that corporate culture is the most powerful force behind a company’s ability to grow its competitive advantage. This process has resulted in WCM's Quality Global Growth Equity Strategy Composite outperforming the MSCI World Index by an annualised 4.25% over more than a decade (inception 31 March 2008).

In the Australian market, WCM proudly serves over 10,000 institutional, wholesale and retail investors.

The performance objective of the portfolio is to exceed its benchmark over rolling three-year time periods, and to experience lower volatility than the benchmark.

The Fund provides investors with:

  • Access to a proven world-class manager
  • A unique investment process
  • Quality global stocks
  • An active all-weather portfolio

Platforms

The WCM Quality Global Growth Fund (Managed Fund) is available via the following platforms:

  • Ausmaq
  • AMP North
  • BT Panorama
  • BT Wrap
  • Colonial First Wrap
  • HUB24
  • Investment Exchange
  • IOOF
  • IOOF Employer Super
  • IOOF Expand
  • Netwealth
  • Omniport
  • PowerWrap
  • Praemium
  • Pursuit Select
  • Rhythm
  • Wealth02

Key Fund Info

Key Fund Facts

Fund Name WCM Quality Global Growth Fund (Managed Fund)
Responsible Entity AGP Investment Management Limited
Investment Manager WCM Investment Management, LLC
Benchmark MSCI All Country World Index ex-Australia (with gross dividends reinvested reported in Australian Dollars and unhedged)
Minimum Investment $20,000 initial investment, $10,000 additional investment
Management Fee 1.25% p.a.
Administration Fee 0.10% p.a.
Performance Fee 10% excess return above the Benchmark after Management Fee

Fee is capped at 0.375% for the 6 month period based on the ending portfolio value

Investment Guidelines

Global listed equities (ex-Australia) 93% – 100%
Cash 0% – 7%

Why Invest

Proven World-class Manager

WCM has an outstanding long-term track record of global equity management. Their Quality Global Growth Strategy has outperformed the MSCI World Index by an annualised 4.25% since its inception in 2008.

Unique Investment Process

WCM’s two key criteria for selecting an investment are:

  1. a rising competitive advantage (or expanding ‘economic moat’) and
  2. a corporate culture that supports the expansion of this moat.

WCM believes the direction of a company’s moat is more important than its absolute width or size.

Active All-weather Portfolio

The portfolio has been designed as an ‘all weather portfolio’, to maximise participation in rising markets while limiting the impact of market weakness. WCM has a strong track record of protecting capital in downward markets.

Focused and Low-turnover Portfolio

The Fund invests in a portfolio of no more than 20 – 40 companies. These companies are chosen from a universe of close to 2,100. This results in a high conviction portfolio ensuring that the investment team’s best ideas aren’t diluted by less compelling ones. The average holding period of each company is five to seven years. This means that each company is deeply researched prior and post inclusion in the portfolio, resulting in avoidance of unnecessary and excessive trading.

Quality Global Stocks

WCM’s focus on quality global stocks with expanding economic moats leads it towards high growth sectors such as Technology, Health Care and Consumer. For Australian investors this provides significant diversification benefits, as these sectors represent a relatively small proportion of the local market.

The Manager

Founded in 1976, WCM Investment Management, LLC is a leading global equities specialist based in California. WCM is trusted globally with over A$176 billion (as at 31 December 2025).
The firm is owned by its employees who have a fundamental belief that corporate culture is the most powerful force behind a company’s ability to grow its competitive advantage.


 

Key investment professionals include:

Paul Black

Co-CEO & Portfolio Manager

Sanjay Ayer

Portfolio Manager

Michael Trigg

Co-CEO & Portfolio Manager

Jon Tringale

Portfolio Manager

How To Invest

Download the PDS
Download the PDS

Download and read the product disclosure statement (PDS).

Download
Complete the Application Form
Complete the Application Form

Complete our online application form at the link below. Please contact 1300 052 054 if you require assistance.

Apply Now