The Oakmark Funds are advised by Harris Associates L.P. an autonomous subsidiary of Natixis Investment Managers, L.P.

Learn more about the principles and philosophy behind our funds at HarrisAssoc.com.

Harris Associates

111 South Wacker Drive, Suite 4600
Chicago, Illinois 60606
312-646-3600

OAYWX

Fund

Oakmark Global Select

Inception Date

11/30/2016

Cusip

413838756

Share Class Total Net Assets

$148.83 M

Daily Nav

$21.90

(03/27/2024)

Nav Change

0.20

Nav YTD %

2.58%

Objective

Long-term capital appreciation

Oakmark Global Select is a non-diversified portfolio of U.S. and non-U.S. common stocks.  Typically the Fund holds about 20 individual securities, with large-cap companies eligible for investment.

Growth of a $10,000 Investment (Investor Share Class)

From 10/02/2006 to 12/31/2023

Past performance is no guarantee of future results. The performance data quoted represents past performance. Current performance may be lower or higher than the performance data quoted. Total return includes change in share prices and, in each case, includes reinvestment of dividends and capital gain distributions. The investment return and principal value vary so that an investor’s shares, when redeemed, may be worth more or less than the original cost.

The graph does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

Because the Oakmark Global Select Fund is non-diversified, the performance of each holding will have a greater impact on the Fund’s total return, and may make the Fund’s returns more volatile than a more diversified fund.

Investing in foreign securities presents risks that in some ways may be greater than U.S. investments. Those risks include: currency fluctuation; different regulation, accounting standards, trading practices and levels of available information; generally higher transaction costs; and political risks.

The MSCI World Index (Net) is a free float-adjusted, market capitalization-weighted index that is designed to measure the global equity market performance of developed markets. The index covers approximately 85% of the free float-adjusted market capitalization in each country. This benchmark calculates reinvested dividends net of withholding taxes. This index is unmanaged and investors cannot invest directly in this index.

Commentary

See All Commentary

Oakmark Global Select Fund: Fourth Calendar Quarter 2023

A top contributor to the Fund’s performance was a company that specializes in consumer finance, while a top detractor...

Performance Returns

  • Returns % as of 02/29/2024
  • Returns % as of 12/31/2023
Expense Ratio: 0.97%
Fund Inception: 11/30/2016

Expense ratios are from the Fund’s most recent prospectus dated January 28, 2024; actual expenses may vary.
Returns for periods of less than one year are not annualized.

Portfolio Characteristics

As of 12/31/2023

Median Market Cap

$73,278 M

Weighted Average Market Cap

$249,885 M

Current Price to Earnings Ratio

12.6

Projected Price to Earnings

11.4

Current Price to Book Ratio

1.7

Projected Price to Book

1.6

Current Price to Cash Flow

10.0

Projected Price to Cash Flow

8.8

Turnover Rate (as of 09/30/2022)

32%

Dividend Yield

2.10%

Beta vs. Benchmark

1.116

Standard Deviation

19.76%

Top 10 Equities and Equivalents

As of 02/29/2024

Total % in Top 10 Holdings 52.0%

Total # of Holdings 23

Assets Under Mgmt. $1,118.43M

 

Portfolio holdings are subject to change and are not intended as recommendations of individual stocks. Individual security weights may not add to the displayed total due to rounding. The most recently quarterly holdings file, which contains all investments, can be found in the latest fund report.

Equity Sector Breakdowns

As of 12/31/2023

Country Allocations

As of 12/31/2023

Emerging Markets consists of: China and South Korea.

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