LU0995405320

Emerging Markets Growth Fund

Share Class

Daily NAV (USD)

$196.06

As of 12.11.2025

Why Consider This Fund?

Approach
  • Invests in a broad emerging markets portfolio of approximately 120 to 175 stocks diversified across market cap, region, industry, and corporate lifecycle
  • Managed by a seasoned team with decades of emerging markets experience
  • Focuses on companies of all sizes which the investment manager believes to have above-average growth, profitability, and quality characteristics
  • The Fund is classified as a financial product under Article 8 of the EU Sustainable Finance Disclosure Regulation. The Fund promotes environmental or social characteristics but does not have a sustainable investment objective
Risk Considerations
  • The value of shares and any income from them can increase or decrease and an investor may not get back the amount originally invested
  • Where investments are made in currencies other than an investors base currency, the value of those investments will be affected (favourably or unfavourably) by movements in exchange rates
  • Equity securities may decrease in value in response to the activities of an individual company or in response to general market, business, and economic conditions
  • Emerging markets investments typically involve special risk considerations, including higher volatility, lower liquidity, economic and political risk

Fund Facts

OTHER VEHICLES:

Fund FactsAs of 31.10.2025
Total Net Assets ($Million)$110
Number of Holdings103
Inception Date03.12.2013
Ongoing Charge Figure*1.05%
ISINLU0995405320
SEDOLBGLC8Y6
BloombergWBEJUSU LX
Valoren Number22883895
WKN NumberA1W8U1
Lipper68238006
Benchmark**MSCI Emerging Markets IMI Index (net)

*The ongoing charge figure (OCF), is the charge youll pay over a year for as long as you hold your investment. The OCF for a fund is quoted on the 'Key Investor Information' document and relates to the costs of running the fund.

**Reference to the Benchmark is only included for performance comparison purposes and does not have any bearing on how the investment manager invests the funds assets. The Benchmark has been selected because it is representative of the type of investments in which the fund is likely to invest.

Performance

AS OF DATE:|
Emerging Markets Growth Fund
MSCI Emerging Markets IMI Index (net)
Scroll right to view full table.
RETURN:As of 31.10.2025
AVERAGE ANNUAL RETURNS: As of 31.10.2025
FundInceptionMonthYTD1-YR3-YR5-YR10-YRSince Inception
Emerging Markets Growth Fund Class J (USD)03.12.20136.51%27.13%25.72%17.00%3.75%7.87%5.87%
MSCI Emerging Markets IMI Index (net)-3.92%30.88%26.10%20.77%8.07%7.72%5.47%

Past performance is not necessarily a guide to future performance. Returns for periods of one year or more are annualized. All charges and fees, except any entry, exit and switching charge, have been taken into account in calculating the Fund’s performance. Returns for other share classes will differ from those shown above. The investment return and principal value of an investment in the Fund will fluctuate so that shares, on any given day or when redeemed, may be worth more or less than the original cost. Levels and bases for taxation may change.

Portfolio Characteristics

As of 31.10.2025

Portfolio Composition
Wgtd Avg Market Cap ($Billion)$220.50
Median Market Cap ($Billion)$12.30
P/E Ratio (Next 12 Months)17.1
EPS Growth (Long-Term)19.4%
Trailing 1-Year Turnover77.4%
Cash0.7%
Top 10 Holdings% of Fund
SK hynix Inc.9.8%
Taiwan Semiconductor Manufacturing Company Limited - ADR8.6%
Tencent Holdings Limited6.7%
Alibaba Group Holding Limited5.3%
Samsung Electronics Co., Ltd.5.3%
MercadoLibre, Inc.2.5%
Delta Electronics, Inc.2.2%
Naspers Limited2.2%
Sea Limited2.0%
ICICI Bank Limited1.7%
Total46.3%

Top ten holdings are shown as % of total net assets.

Portfolio Allocations

As of: 31.10.2025
Scroll right to view full table.
Range% of Fund
> $20.0B64.7%
$5.0B - $20.0B27.8%
< $5.0B7.5%
Total100.0%

Sector, Market Cap and Geographic Diversification charts show % of investments for the Fund and exclude cash equivalents.


As of: 31.10.2025
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Sector% of Fund% Benchmark
Information Technology37.2%26.5%
Consumer Discretionary17.9%12.4%
Financials17.8%20.5%
Industrials11.9%8.4%
Communication Services9.9%8.9%
Health Care3.1%4.2%
Real Estate1.4%2.0%
Consumer Staples0.8%4.1%
Energy0.0%3.6%
Materials0.0%7.0%
Utilities0.0%2.4%
Total100.0%

Sector, Market Cap and Geographic Diversification charts show % of investments for the Fund and exclude cash equivalents.


As of: 31.10.2025
Scroll right to view full table.
Geographic% of Fund
      Asia80.3%
      Europe, Mid-East, Africa10.4%
      Latin America8.0%
      Asia Ex-Japan1.3%
Total0.0%

Sector, Market Cap and Geographic Diversification charts show % of investments for the Fund and exclude cash equivalents.

Management

Todd McClone
Todd McClone, CFA, Partner

Portfolio Manager

Tenure with William Blair:Since

2000
View Bio
Casey Preyss
Casey Preyss, CFA, Partner

Portfolio Manager

Tenure with William Blair:Since

2000
View Bio
Vivian Lin Thurston
Vivian Lin Thurston, CFA, Partner

Portfolio Manager

Tenure with William Blair:Since

2015
View Bio

Fund Literature

Fund Literature
Class J (USD) Fact Sheet
Quarterly Review
Commentary
Holdings
Attribution Report
Contributors & Detractors
Preliminary October 2025 Commentary
Q3 Client Communication
Emerging Markets: 6 Key Themes for 2025
Why Emerging Markets Equities Now?
Prospectus and Reports
SICAV Prospectus
Semi-Annual Report
Annual Report
UCITS KIID - Class J (USD)

Any investment or strategy mentioned herein may not be appropriate for every investor. There can be no assurance that investment objectives will be met. Products and services listed are available only to residents of this jurisdiction and may only be available to certain categories of investors. The information on this website does not constitute an offer for products or services, or a solicitation of an offer to any persons outside of this jurisdiction who are prohibited from receiving such information under applicable laws and regulations. Nothing on this webpage should be construed as advice and is therefore not a recommendation to buy or sell shares.

Please carefully consider the investment objectives, risks, charges, and expenses of the William Blair SICAV. This and other important information is contained in the prospectus and Key Investor Information Document. Read these documents carefully before investing. The information contained on this website is not a substitute for those documents or for professional external advice.

Investments in initial public offerings (IPOs) during favorable market conditions have significantly contributed to the Emerging Markets Growth Funds performance since its inception. As the Fund grows in size or as market conditions for IPOs become less favorable, the impact of IPOs is likely to diminish.

The Morgan Stanley Capital International (MSCI) Emerging Markets Index (net) is a free float-adjusted market capitalization index that is designed to measure equity market performance of emerging markets. The series approximates the minimum possible dividend reinvestment.

For your reference, this link contains additional notices and disclaimers required by our data suppliers.

For definitions and explanations of technical terms used on this website, please refer to the Glossary.

This webpage is a marketing communication. Please refer to the Prospectus, the Annual Report and to the KIID/KID in the Fund Literature section above, before making any final investment decisions.

Contact Us

Our active ownership culture creates long-term client relationships by aligning with your interests and helping you achieve successful investment outcomes. Contact us to learn how we can partner with you.

Contact Us

Contact Us

Our active ownership culture creates long-term client relationships by aligning with your interests and helping you achieve successful investment outcomes. Contact us to learn how we can partner with you.
Contact Us

Contact Us

Our active ownership culture creates long-term client relationships by aligning with your interests and helping you achieve successful investment outcomes. Contact us to learn how we can partner with you.
Contact Us

The William Blair SICAV is a Luxembourg investment company with variable capital registered with the Commission de Surveillance du Secteur Financier (“CSSF”) which qualifies as an undertaking for collective investment in transferable securities (“UCITS”). The Management Company of the SICAV has appointed William Blair Investment Management, LLC as the investment manager for the fund. Additional information can be found under the Terms of Use.

Issued in the European Economic Area (EEA) by William Blair B.V., authorized and supervised by the Dutch Authority for the Financial Markets (AFM) under license number 14006134 and also supervised by the Dutch Central Bank (DNB), registered at the Dutch Chamber of Commerce under number 82375682 and has its statutory seat in Amsterdam, the Netherlands. This material is only intended for eligible counterparties and professional clients.

This fund is not available to Taiwanese investors.