You are about to exit

Background pattern


Generating sustainable long-term returns through equity investments in developed countries with a focus on growth companies as a key factor in long-term performance.


The fund targets investment in equities across the core sectors of information technology, healthcare, consumer discretionary and entertainment, seeking a net return of 15% and aiming to outperform S&P 500 on 5-year horizon and to maintain volatility between 10% and 12%. The fund also engages in tactical investments in hedging instruments through equity and index options with temporary exit to money market instruments. The fund is led by asset management specialists with international capital markets background and substantial investment banking experience.


Market and portfolio insights, webinars and podcasts from across our Global Leaders Equity Fund to provide our investors with the guidance they demand to navigate the changing world we are living in.

 Outlook 2024


Market and portfolio insights, webinars and podcasts from across our investment teams.

By continuing, you confirm you have read and agree to the specified Policies and Legal Frameworks.


Anatoly Fedorov
Anatoly Fedorov Portfolio Manager Global Leaders

Anatoly Fedorov is a Portfolio Manager and the Head of Equities of Signet Group. Anatoly has more than 12 years of experience of investment banking and financial markets. His primary responsibilities are portfolio management and equity research for Signet’s global, fundamental growth strategies. Anatoly manages Signet’s Global Leaders Fund (UCITS) and historically being involved in managing Long-Short Equity and Merger Arbitrage strategies. Prior to joining Signet in February 2018, he worked as a Vice President at J.P. Morgan in EMEA Diversified Industrials Practice where he was responsible for financial and valuation analysis, execution, project management and due diligence of large-scale M&A transactions, IPOs and financing deals (e.g. Wabco acquisition by ZF, Philips Lighting IPO, Befesa IPO, SGD Pharma sell-side etc.). Prior to his employment at J.P. Morgan, Anatoly was an equity research analyst at Genesis Investment Management. During his time there, he executed financial analysis, valuation and communication with corporate management for emerging markets. Anatoly graduated from New Economic School and Moscow State University with two Master of Arts degrees in Economics.