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As of 06/18/2026


I Share Class

USD ACC: $896.05

ISIN: LU0979706610

EUR ACC: €780.01

ISIN: LU0979706966

GBP ACC: £1076.48

ISIN: LU0979706883

GBP DIS: £993.89

ISIN: LU1373908331

R Share Class

USD ACC: $494.37

ISIN: LU2100869861

GBP ACC: €391.44

ISIN: LU0979706024

Y Share Class

USD ACC: $408.82

ISIN: LU2314635694

GBP ACC: £396.01

ISIN: LU2859871308

M Share Class

USD ACC: $848.49

ISIN: LU1373909149

A Share Class

USD ACC: $811.08

ISIN: LU1376305246

I Share Class

Minimum Investment: $1,000,000

USD ACC: $896.05

Bloomberg: SMVUSIU

ISIN: LU0979706610

EUR ACC: €780.01

Bloomberg: SMVUSIE

ISIN: LU0979706966

GBP ACC: £1076.48

Bloomberg: SMVUSIG

ISIN: LU0979706883

GBP DIS: £993.89

Bloomberg: SMDUSIG

ISIN: LU1373908331

R Share Class

Minimum Investment: $2,500

USD ACC: $494.37

Bloomberg: SMVUSRU

ISIN: LU2100869861

GBP ACC: €391.44

Bloomberg: SMVUSRG

ISIN: LU0979706024

Y Share Class

Minimum Investment: $25,000,000

USD ACC: $408.82

Bloomberg: SMVUSYU

ISIN: LU2314635694

GBP ACC: £396.01

Bloomberg: SMVUSYG

ISIN: LU2859871308

M Share Class

Minimum Investment: $25,000

USD ACC: $848.49

Bloomberg: SMVUSMU

ISIN: LU1373909149

A Share Class

Minimum Investment: $10,000

USD ACC: $811.08

Bloomberg: SMDUSAU

ISIN: LU1376305246

Click here for a fund application.

This is a marketing communication

Investors should carefully read the prospectus, the key investor information document and all other relevant documentation before investing in the fund. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance of the fund may be lower or higher than the performance quoted. Currency fluctuations may have a negative impact on the value of an investment in the fund. Net performance results are calculated after management fees and certain operational costs, commissions, fees and other charges that could have a negative impact on performance. The performance figures given are a measure of the change in net asset value of the Fund which are net of all Fund fees and expenses but do not take into account taxes or charges. The MSCI World ex USA Net Index is an equity benchmark that tracks the performance of large and mid-cap stocks across 22 developed markets globally, specifically excluding the United States. This benchmark calculates reinvested dividends net of withholding taxes using Luxembourg tax rates. The MSCI ACWI ex USA Net Index is a float-adjusted market capitalization index that is designed to measure the combined equity market performance of large- and mid-cap securities in developed and emerging market countries excluding the United States. The Fund is not managed to target or exceed the performance of any specific benchmark, nor are investment decisions constrained by any benchmark. Benchmarks are used for comparison purposes only. An index cannot be invested in directly.

The Smead Global ex-US Value UCITS Fund, incorporated on June 8, 2026, and the Smead US Value UCITS Fund, incorporated on December 4, 2015, are sub-funds of Smead Funds, a UCITS organized as an umbrella investment company with variable capital(Société d’investissement à capital variable, “SICAV”) under the laws of Luxembourg, and is regulated by the Commission de Surveillance du Secteur Financier (“CSSF”) which is the Luxembourg supervisory authority (“Funds”).

Investors should carefully read the prospectus, more specifically its section on risk factors, the Key Information Document (“KID”) and all other relevant documentation before investing in the Funds. Further information about the Funds, including copies of their prospectus, the last annual reports and any subsequent half yearly reports can be obtained free of charge, in English, at the registered office of the Funds, Central Administrator, the Custodian Bank, the Funds distributors or online here. Holdings are available upon request.

These agreements may be amended by mutual agreement of the parties involved. Luxembourg taxation regime may have an impact on the personal tax position of the investors. Depending on your own country of residence, this might have an impact on your investment. For further details you should consult a tax adviser. The latest prices of share class of the Funds can be found at the depositary and on distributors’ or on the Investment Manager’s website (www.smeadcap.com). The assets and the liabilities of the Funds are segregated by law. Shareholders may request at any time the conversion of all or part of their holdings into shares of another category and/ or class of shares. There are no conversion fees. For more details on how to exercise that right refer to the Funds’ prospectus. FundSight S.A. was appointed as Management Company of the Fund with effect 1 October 2020. FundSight S.A. is authorized in Luxembourg and regulated by the Commission de Surveillance du Secteur Financier. Smead Capital Management Inc. is the Investment Manager of these Funds. These Funds are authorized in Luxembourg and regulated by the Commission de Surveillance du Secteur Financier.

Each Fund’s holdings, sector allocation, and asset allocations are subject to change and are not recommendations to buy or sell any security.

This information does not constitute the solicitation of an offer to purchase or subscribe for any investment, financial instrument or service in any jurisdiction where such a solicitation of an offer is unlawful. The Funds are not available for investment by US Persons as defined by Regulation S and is not offered for sale or sold in the US, its territories or possessions. The Funds are not registered for sale to the public in all jurisdictions. Subscriptions will only be received and shares issued on the basis of the current prospectus for the Funds, the most recent financial reports and the simplified prospectus.

The information contained within this document has not been reviewed in light of your personal circumstances.

As of 06/18/2026


I Share Class

USD ACC: $896.05

ISIN: LU0979706610

EUR ACC: €780.01

ISIN: LU0979706966

GBP ACC: £1076.48

ISIN: LU0979706883

GBP DIS: £993.89

ISIN: LU1373908331

R Share Class

USD ACC: $494.37

ISIN: LU2100869861

GBP ACC: €391.44

ISIN: LU0979706024

Y Share Class

USD ACC: $408.82

ISIN: LU2314635694

GBP ACC: £396.01

ISIN: LU2859871308

M Share Class

USD ACC: $848.49

ISIN: LU1373909149

A Share Class

USD ACC: $811.08

ISIN: LU1376305246

I Share Class

Minimum Investment: $1,000,000

USD ACC: $896.05

Bloomberg: SMVUSIU

ISIN: LU0979706610

EUR ACC: €780.01

Bloomberg: SMVUSIE

ISIN: LU0979706966

GBP ACC: £1076.48

Bloomberg: SMVUSIG

ISIN: LU0979706883

GBP DIS: £993.89

Bloomberg: SMDUSIG

ISIN: LU1373908331

R Share Class

Minimum Investment: $2,500

USD ACC: $494.37

Bloomberg: SMVUSRU

ISIN: LU2100869861

GBP ACC: €391.44

Bloomberg: SMVUSRG

ISIN: LU0979706024

Y Share Class

Minimum Investment: $25,000,000

USD ACC: $408.82

Bloomberg: SMVUSYU

ISIN: LU2314635694

GBP ACC: £396.01

Bloomberg: SMVUSYG

ISIN: LU2859871308

M Share Class

Minimum Investment: $25,000

USD ACC: $848.49

Bloomberg: SMVUSMU

ISIN: LU1373909149

A Share Class

Minimum Investment: $10,000

USD ACC: $811.08

Bloomberg: SMDUSAU

ISIN: LU1376305246

kiplinger logo

This concentrated fund looks for a few high-quality stocks at bargain prices.

by Ryan Ermey

P/E (Price to Earnings) is the ratio for valuing a company that measures its current share price relative to its per-share earnings. P/FCF (Price to Free-Cash-Flow) is a valuation method used to compare a company’s current share price to its per-share free cash flow.
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