IF YOU CAN'T MAKE IT
CERTAIN, MAKE IT LIKELY

QS Investors is a leader in quantitative investing. Over their
history, they have built a range of proprietary tools, systems
and processes that create the advantage needed to drive
outcome certainty for investors. 

Legg Mason QS Investors Global Equity Fund

The Fund invests in global equity markets through a systematic investment process that utilises fundamental insights and quantitative tools. This approach identifies attractive stocks that also have a sentiment catalyst to build a diversified portfolio that is spread across multiple uncorrelated drivers of return.

WHY INVEST IN THIS FUND

Experienced Team

Active, intelligent, diversified core global equity exposure with a long track record of alpha generation managed by a team of expert investment professionals.

Quantitative Analysis

Blending the power of fundamental quantitative analysis with behavioral economic insights the Fund aims to deliver superior risk adjusted returns across core global equity markets. 

Disciplined Risk Management

The QS investment team combines the precision of science, engineering, mathematics and investment expertise to create a disciplined risk management framework. This framework acts as the foundation upon which to pursue superior risk-adjusted returns.


Fund Overview

Fund Insight

Fund Literature

Legg Mason QS Investors Global Responsible Investment Fund

The Fund's investment team focuses on crafting a portfolio of companies with high ESG characteristics and attractive valuation. The Fund also restricts certain sectors and stocks on ethical grounds. The Fund is designed specifically to be a core global equity solution for responsible investors. 

WHY INVEST IN THIS FUND

Global Exposure

Active global equity exposure that blends fundamental investing with nuanced ESG analysis.

ESG Focused

An investment strategy that seeks attractively valued companies that also embody ESG practices with the aim delivering sustainable and superior returns.

Comprehensive Approach

A comprehensive approach to ESG analysis that combines multiple data sources to deliver a more accurate picture of a company's true sustainability profile.


Fund Overview

Fund Insight

Legg Mason Australia is the Responsible Entity of the Legg Mason QS Investors Global Equity Fund (ARSN 122 100 207) and the Legg Mason QS Investors Global Responsible Investment Fund (ARSN 631 941 172). QS Investors, LLC. is the fund manager of the Funds. Before making an investment decision you should read the Product Disclosure Statements carefully and you need to consider, with or without the assistance of a financial adviser, whether such an investment is appropriate in light of your particular investment needs, objectives and financial circumstances.