Aproveite a vantagem competitiva

CT (Lux) Global Focus Fund

Comunicação de promoção comercial. Por favor, consulte o prospecto OICVM e o KID antes de tomar qualquer decisão de investimento.

Imagine ter a liberdade para se concentrar no desempenho - independentemente do caminho a percorrer.

Uma solução de ações mundiais gerida de forma ativa, que investe em várias regiões, setores e capitalizações bolsistas para obter retornos elevados e sustentáveis e um crescimento acima da média.

Orientado pela colaboração a nível mundial e por uma seleção de ações sem restrições, o fundo visa empresas de qualidade com vantagens competitivas duradouras. O resultado? Uma carteira concentrada das melhores ideias de economias desenvolvidas e emergentes.

Apresentação do CT (Lux) Global Focus Fund

Magnifying glass

Foco em empresas de qualidade com vantagens competitivas duradouras

Carteira concentrada de 30-50 ações sem constrangimentos setoriais e regionais

A seleção de ações promove um desempenho superior tanto em mercados em alta como em baixa

Como é que identificamos a vantagem de uma empresa?

O nosso processo é composto por três partes fundamentais: compreender a estrutura do setor no quadro das 5 Forças de Porter; identificar e compreender a fonte da vantagem competitiva de uma empresa; e avaliar o perfil Ambiental, Social e de Governação de uma empresa.

Graphic of a wheel showing Competitive Advantage in the middle and icons on the outside (in Portuguese)
Icon of roadworks barrier

Ativos intangíveis

As marcas ou patentes atuam como barreiras à entrada

Icon of price tag with Pound Sterling

Vantagem de custo

Produtor de custo mais baixo

Icon of checklist with stars

Escala eficiente

Uma ou duas empresas dominantes

Icon of arrows looping in a circular motion

Custos de mudança

Custos incorridos através da mudança

Icon of interconnected web

Efeito de rede

O valor cresce à medida que mais pessoas o utilizam

Graphic of a wheel showing Competitive Advantage in the middle and icons on the outside (in Portuguese)
Icon of roadworks barrier

Ativos intangíveis

As marcas ou patentes atuam como barreiras à entrada

Icon of price tag with Pound Sterling

Vantagem de custo

Produtor de custo mais baixo

Icon of checklist with stars

Escala eficiente

Uma ou duas empresas dominantes

Icon of arrows looping in a circular motion

Custos de mudança

Custos incorridos através da mudança

Icon of interconnected web

Efeito de rede

O valor cresce à medida que mais pessoas o utilizam

  • As 5 Forças de Porter para avaliar a intensidade competitiva
  • Preferir setores consolidados/em consolidação
  • Impacto da regulamentação e temas seculares
  • Foco na compreensão da fonte e da sustentabilidade
  • Estabelecida e / ou em melhoria
  • Todas as participações apresentarão uma ou mais
  • Integrado no processo de research
  • Determinante da qualidade da empresa
  • Medida do risco / Inspira a oportunidade
  • Envolvimento ativo

Informações Completas do Fundo

Visite a página do fundo para obter os principais factos, preços, códigos do fundo, comissões e encargos, participações em carteira, comentários mensais, todos os principais documentos regulamentares e as informações relativas ao desempenho, quando disponíveis.

Insights

23 Setembro 2025

Michael Guttag

Senior Equity Portfolio Manager

AI research trip reaffirms bullish outlook

How AI is driving innovation and growth across a range of industries.
15 Setembro 2025

Tiffany Wade

Senior Portfolio Manager

Michael Guttag

Senior Equity Portfolio Manager

The rise of the Magnificent 7: Concentration risk versus earnings power

Although large-cap tech firms are not in bubble territory, concerns about market concentration are not without merit.
12 Setembro 2025

Joe Horrocks-Taylor

Senior Associate, Analyst

A wheel opportunity: Premium tyre makers use EVs to inflate margins

We think premium manufacturers look better placed and have scope to benefit from higher EV tyre margins and volume growth. Find out how we’re looking to tap into this opportunity.
2 Setembro 2025

Paul Doyle

Head of Large Cap European Equities

European improvement, not just US weakness

The region has exited post-Covid stagflation, with inflation falling and interest rates easing, so economic performance has turned round. America, by contrast, faces stagflation
14 Julho 2025

Simon Morton-Grant

Client Portfolio Manager

Daisuke Nomoto

Portfolio Manager, Japanese Equities

Clear skies ahead: Japan's structural renaissance

Corporate reform, economic stability and attractive valuations create a compelling entry point to Japanese equities. We explain why and argue the case for an active approach.
1 Julho 2025

Joe Horrocks-Taylor

Senior Associate, Analyst

Electric Vehicle transition: poised to move through the gears

With cost parity on the horizon, we expect the adoption of electric vehicles to accelerate. We explore the key drivers and related investment opportunities.
27 Junho 2025

Tiffany Wade

Senior Portfolio Manager

David Egan

Senior Research Analyst

David Goodman

Senior Research Analyst

Market jitters miss the bigger AI picture

As investors navigate a slower growth, policy-fragmented environment, AI stands out as a long-term theme with the potential to deliver durable growth and broad-based opportunity across the value chain.
16 Junho 2025

Dara White

Global Head of Emerging Market Equities

Krishan Selva

Client Portfolio Manager

Navigating the fog of tariffs in emerging market equities

Trade tensions continue to dominate headlines, despite the various 90-day reprieves. Relations between the US and China are clearly evolving.
10 Junho 2025

Nicolas Janvier

Head of US Equities, North America

Midyear equity outlook: Staying selective amid volatility

In an environment of elevated macro risks and uncertainty, there are bright spots fuelling our optimism for equities.

Contacte-nos

Se desejar obter mais informações sobre este fundo, contacte o seu representante de vendas local.

Informação Importante

FOR PROFESSIONAL INVESTORS ONLY (not to be used with or passed on to any third party). Your capital is at risk.

This financial promotion is issued for marketing and information purposes only by Columbia Threadneedle Investments.

The Fund is a sub-fund of Columbia Threadneedle (Lux) I, a Luxembourg domiciled investment company with variable capital (“SICAV”), managed by Threadneedle Management Luxembourg S.A..

The SICAV´s current Prospectus, the Key Investor Information Document (KIID)/Key Information Document (KID) and the summary of investor rights are available in English and/ or in local languages (where applicable) from the Management Company Threadneedle Management Luxembourg S.A., International Financial Data Services (Luxembourg) S.A., your financial advisor and/or on our website www.columbiathreadneedle.com. Threadneedle Management Luxembourg S.A. may decide to terminate the arrangements made for the marketing of the SICAV. Pursuant to article 1:107 of the Act of Financial Supervision, the sub-fund is included in the register that is kept by the AFM. Past performance is calculated according to the BVI method in Germany.
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The Fund is categorised an Article 8 under the EU Regulation 2019/2088 on sustainability related disclosures in the financial services sector (SFDR) and promote environmental or social characteristics as an objective. The decision to invest in the promoted fund should take into account all the characteristics or objectives of the promoted fund as described in its prospectus. The fund’s sustainability related disclosures can be found on our website columbiathreadneedle.com.

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