Claremont Global Fund (Managed Fund) is an actively managed, long-only global equity fund structured as an exchange traded managed fund. Its primary purpose is to provide investors with access to a concentrated portfolio of high-quality businesses listed outside Australia, aiming to deliver attractive risk-adjusted returns over full market cycles of 5–7 years. The fund typically holds between 10 and 15 securities diversified across countries and industries, focusing on resilient companies with organic growth, high margins, and low levels of debt, while deliberately excluding commoditised, highly leveraged, complex, or cyclical firms. Claremont Global Fund targets an absolute return of 8–12% per annum after fees, with capital protection as a central tenet of its investment philosophy. Investors benefit from transparent, live intra-day pricing, quarterly portfolio disclosure, and the ability to trade units simply through an exchange-traded mechanism similar to buying shares. As of June 2024, it managed approximately $160.9 million in assets, and is overseen by a team of experienced global investment professionals. The fund plays a significant role in giving Australian investors exposure to international equities with a disciplined, high-conviction approach.