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ANALYTICS
AnalysisScreenerGroups

Selection

Selected (1/4)

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Benchmark

Pick one fund or composite — returns and exposures render in excess of it

Peer Universe

Reference set for percentile ranks and factor bars

No percentile overlays — plain values and bars

ANALYTICS
AnalysisScreenerGroups

Global Equity (Unclassified)

Composite

Peer Group

Expense Ratio
0.95%
#NameTickerAUM
1AMG Yacktman Special Opportunities FundYASLX$22M
2CoinShares Altcoins ETFDIME$2M
3GlacierShares Nasdaq Iceland ETFGLCR$1M
Time Series
–

Performance

NameCumulative ReturnAnn. ReturnAnn. VolSharpeMax DD
Peer Group
-16.4%-16.4%27.1%-0.75-31.6%
ⓘ Methodology

Peer composites equal-weight the group's share-class representatives' daily returns, including delisted members' alive-era history via the frozen year-end snapshots — though our coverage of closed funds is partial, so composite levels at older dates may run slightly high. Membership is the latest known — style migrators carry their full history. ETF performance based on market prices. Drag on chart to select period. Sharpe Ratio uses the one-month T-bill as the risk-free rate. From 10/7/2025 to 10/7/2026.

Trailing Returns

Name
YTD1D5D1M3M6M1Y2Y3Y5YMAX
Peer Group
5.8%-1.9%-0.6%7.4%15.9%16.5%-16.4%-8.2%-0.5%-11.0%2.8%
ⓘ Methodology

ETF performance based on market prices. Returns for periods greater than one year are annualized. As of 10/7/2026.

Annual Returns

Name
20002001200220032004200520062007200820092010201120122013201420152016201720182019202020212022202320242025YTD
Peer Group
2.9%*10.1%-27.8%48.0%-4.0%16.4%23.3%5.7%-49.0%56.1%25.9%-4.4%14.0%15.3%-0.7%-8.4%8.8%30.9%-14.5%8.2%33.6%-6.7%-26.7%-6.7%-2.0%-13.4%5.8%
ⓘ Methodology

* partial year — the series ran for only part of it (its first year, or the year it closed); the figure is the return over the part it did run. ETF performance based on market prices. As of 10/7/2026.

Correlation Matrix

Benchmark

Select a second series, or to correlate with the seven research factors.

Factor Regression

Name
Ann. αβ MKTβ SMBβ HMLβ RMWβ CMAβ UMDβ iHMLR²Obs
Global Dev
Peer Group
-44.0%0.92**-0.090.45-0.72*-0.57*-0.22-0.240.28226
ⓘ Methodology

ETF performance based on market prices. Global Dev factor set. Daily OLS of excess return (fund − T-bill) on factor spread returns over the selected date range, intersected with each series' history. Bold with * |t| ≥ 1.96, ** |t| ≥ 2.58. Cell shading tracks each loading's t-stat. Betas are returns-based — compare with the holdings-based factor scores below. Factor returns are long-short spread returns (© Ken French, Dartmouth). Fama-French publishes daily factors for developed markets only, so Dev Ex-US is developed markets excluding the US and Global Dev is developed markets including it; emerging markets, a small share of world market capitalization, are not covered by the source data. From 10/7/2025 to 8/31/2026.

SnapshotAs ofvsⓘ

Fund Profile

Type
67% ETF, 33% Mutual Fund
Asset Class
Equity
Region
Peer Group Benchmark
Peer Group
Global Equity (Unclassified) (3 peers)
Expense Ratio
0.95%
5Y Tax Drag
1.37%/yr
Median Member AUM
$2M
3Y Flow
-37.8%
Yield
2.08%
Inception
7/2/2014
Holdings (Reported)
97
Turnover
7%
Equity
99%
Derivatives
0%
Net Equity Exposure
99%
ⓘ Methodology

Every figure on this card is an equal-weight aggregate over the composite's share-class-deduped members: the median across the members reporting each field, blank where too few of them do. Three rows depart from that, because a median of them would say nothing: Inception is the group's OLDEST member — where its combined history can start; 3Y Flow is the group's own net flow over its own assets, not the middle member's rate; and Type, Asset Class and Region are compositions by member count. Holdings is the merged look-through book — distinct positions across the members' holdings.

Composite Factors

Not scored — PEER:Global Equity (Unclassified)’s holdings don’t clear the coverage floor for composite factor scores.

Factor Details

None of the selected metrics are scored for PEER:Global Equity (Unclassified) — switch the picker to All, or add metrics under Metrics (top right).

ⓘ Methodology

Hover or click for factor definitions. Weighted average of underlying company-level values with weights equal to position size. Solid blue dots mark the fund's position within the clean equity fund universe (5th–95th percentile scale); percentile overlays are off (Peer Universe: None). Stock-level data as of 8/31/2026.

Asset Class Exposure

Equity98.6%
Other1.4%
ⓘ Methodology

Shares of the fund's long book, from the asset category each position is filed under. Cash & Short-Term includes 0.3% of net assets the filing does not itemise.

Holdings

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3 funds

#NameTickerWeight %AUM
1AMG Yacktman Special Opportunities FundYASLX
33.33
$22M
2CoinShares Altcoins ETFDIME
33.33
$2M
3GlacierShares Nasdaq Iceland ETFGLCR
33.33
$1M
ⓘ Methodology

The funds this composite is made of, each counting once (100 ÷ 3 — the same equal weighting behind its returns and its median exposures), listed largest first by assets. Tick Look-Through to expand them into the stocks they hold. Holdings Concentration beside this card always describes that looked-through book, not this list — it is a statement about exposure, not about the roster. Stock-level data as of 8/31/2026.

Concentration

Total Holdings97
Effective Holdings54.8
Top 10 Weight29.5%
Max Position4.7%
Top Sector (of Net Assets)0%
Top Country (of Net Assets)0%
ⓘ Methodology

Hover or click for definitions. Solid blue dots mark the fund: percentage rows on a 0–100% scale, holdings counts log-scaled across the clean-universe 5th–95th percentile range; percentile overlays are off (Peer Universe: None). Every row on this card describes the composite's merged look-through book — the stocks its members hold — not the list of member funds, whatever the Holdings card is showing.

Peer Group Rank

See All Peer Groups
Metric
Global Equity (Unclassified) Composite
3 funds
Peer Asset Class
5,640 funds
YTD Return
0.11%11.63%10
1Y Return
4.95%14.46%39
3Y Return (Ann.)
15.70%-
5Y Return (Ann.)
--
Expense Ratiohigher = cheaper
0.95%0.74%31
ⓘ Methodology

Global Equity (Unclassified) Composite is a Sparkline peer composite — its members are the share-class representatives of the funds in the group (one class per fund: the exchange-listed class where the SEC series has one, else its longest-history class). This card ranks it against its asset class, Equity, which is the only pool a composite has: there is no peer group of peer groups, and the region tier is a fund-level grouping. Typical Member rows are medians across those representatives — the value is the group’s median, and the percentile is the median of the members’ own ranks within Equity, so both describe the middle fund rather than the group as a whole. Quartile chips fill the layer the rank falls in (top layer = best quartile). A dash is a window the group is younger than, or one too few Equity funds have a history for to rank against — hover it for which.