Flossbach von Storch -
Global Emerging Markets Equities
Flossbach von Storch - Global Emerging Markets Equities is a broadly diversified equity fund. It contains both solid and high-growth equities from emerging markets. All securities are subject to strict selection criteria.

The investment strategy
We focus on high-quality companies from emerging markets and first-class companies from industrialised countries that generate a significant portion of their business in emerging markets. Through a concentrated portfolio and our deliberate benchmark-independent approach, we are able to deliver long-term real added value for our investors compared with passive strategies.

The fund manager
Michael Altintzoglou has been a Fund Manager at Flossbach von Storch since 2014. Prior to this, he worked as a Portfolio Manager at DWS Investment GmbH in Frankfurt and as an Analyst at HSBC Global Asset Management in Düsseldorf. Michael Altintzoglou studied Business Administration at Ludwig Maximilian University in Munich. He manages the Fund together with Michael Illig and Ludwig Palm.
Flossbach von Storch - Global Emerging Markets Equities
Each of our funds is offered in different share classes. The following figures show the performance of share class R in euros, which is primarily invested in by private investors.
Clear principles for discerning investors
Sustainable
We focus on countries with stable growth, solid institutions and clear long-term prospects for the future.
Opportunity-driven
The stock exchange listing, company headquarters, or index membership are of secondary importance to us if the economic parameters are right.
Active
The concentrated portfolio comprises 30 to 50 carefully selected high-quality equities from emerging markets and countries that benefit from their growth.
How to invest in the
Flossbach von Storch - Global Emerging Markets Equities
Our funds are available through a broad network of financial service providers such as banks, savings banks, insurance companies and independent financial advisors. Simply make a note of the name, WKN or ISIN number and speak to your personal advisor.
Further information on performance, portfolio composition and opportunities and risks can be found on our fund details page.
Multi-Asset-Funds
Broadly diversified multi-asset strategies offer a wide range of return opportunities.
Equity funds
Our investment team carefully selects all equities and actively manages the funds.
Bond funds
Bond funds offer appropriate earnings opportunities - with moderate risks.