Voyager Diversified Emerging Markets

Diversified Emerging Markets

Voyager Accounts: International Equity

FACTS AND DATASHEET

The Voyager Diversified Emerging Markets Account divides its assets among 20 or more nations, with a primary focus on the emerging markets of Asia and Latin America. The account may also include stocks from companies based in the Middle East, Africa, or parts of Europe. The portfolio manager invests predominantly in emerging market equities, but some funds also invest in both equities and fixed income investments from emerging markets.

Common benchmarks: MSCI ACWI Ex USA NR USD; MSCI EM NR USD

3-Year Annualized Time-Weighted Return [1]

15.51%

Benchmark 3-Year Annualized Return (SP 500) [2]

13%

Risk (Scale 1 to 5) [3]

Average - 3

Annual Yield [4]

Average 4.28%

Annual Fee (Scale 0.01 to 2.00%) [5]

Low 0.25%
0
%

OVERALL SCORE

Core Facts

Asset Class International Equity
Sub-Class Diversified Emerging Markets
Expense Ratio [6] 0.0%
Minimum investment [7] $0.00 US
Account number 096
Account manager Galleon Wealth Management
Region Global
Market Emerging

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Performance

Risk

The risk rating is based on the account’s past performance as compared to mutual funds and/or ETFs within the same category. It represents a starting point from which investors evaluate if the core makes sense for their own risk tolerance, suitability, goals and objectives. It is not a buy or sell recommendation.

CEO Account

S&P 500

Bloomberg Barclays US Aggregate Bond Index

Account Value (US)Our Donation
$25,000$125
$50,000$250
$100,000$375
$500,000$1,250
$1,000,000$2,500
>$1,000,000$2,500 + 10% of fee

Management

Strategy Income
Style Active
Objectives Income

Social Investing

Green Portfolio No
Impact Investing Yes
Socially Responsible Yes

Tax and Charitable Information

Donor Qualified No
IRA Suitability Yes

1. Assumes even number of shares purchased at time of account inception. Actual returns may vary depending on when shares were purchased.

2. As of date of account inception.

3. Assumes that 1 equals low risk, while 5 equals extremely high risk.

4. Based on even number of shares purchased at time of account inception. Assumes that companies held in the account declared regular dividends as determined by their board of directions. Neither Global Advisers, nor Galleon Wealth Management assumes any responsibility for that amount of dividends paid. Dividend declared by any company are never guaranteed.

5. Based on industry standards and averages, whereas the average account management fee equals 1.5%. Does not include any commissions or other fees charged by custodian