JURY GLOBAL HIGH DIVIDEND UCITS ETF GBX
| Issuer: HANetf |
| Asset Class: Equity |
| TER: 29bps |
| Trading Currency: GBX |
| Pays Income: False |
| Listing Date: 13 May 2026 |
| Ticker: JURP |
| ISIN: IE0002HWPU75 |
This actively managed fund offers an investment solution for income-seeking investors through a concentrated portfolio of global companies selected for their high and sustainable dividend yields. The strategy is founded upon a rigorous, bottom-up fundamental research process designed to identify high-quality businesses capable of consistently returning capital to their shareholders. This discretionary approach distinguishes it from passive dividend strategies that might unintentionally include companies with unsustainable payout policies or deteriorating fundamentals, offering a layer of qualitative oversight.
The investment team employs a comprehensive analysis that combines qualitative assessments of a company's competitive positioning and management quality with strict quantitative screening. The focus is on businesses with robust balance sheets, strong free cash flow generation, and durable competitive advantages. The goal is to construct a focused portfolio of approximately 25 to 30 holdings that not only provide an attractive current yield but also possess the potential for dividend growth and capital appreciation over the long term. This concentrated structure ensures that each selected company can make a meaningful contribution to the fund's overall performance.
By investing across various sectors and geographic regions, the portfolio provides diversification benefits, mitigating dependence on any single market or industry. This global mandate allows the managers to seek out the most compelling dividend opportunities worldwide, from established blue-chip companies in developed markets to growing leaders in emerging economies. For individuals aiming to supplement their income or cultivate a source of passive returns, this investment vehicle presents a compelling option, merging the potential for a steady dividend stream with active management aimed at navigating market complexities.
The investment team employs a comprehensive analysis that combines qualitative assessments of a company's competitive positioning and management quality with strict quantitative screening. The focus is on businesses with robust balance sheets, strong free cash flow generation, and durable competitive advantages. The goal is to construct a focused portfolio of approximately 25 to 30 holdings that not only provide an attractive current yield but also possess the potential for dividend growth and capital appreciation over the long term. This concentrated structure ensures that each selected company can make a meaningful contribution to the fund's overall performance.
By investing across various sectors and geographic regions, the portfolio provides diversification benefits, mitigating dependence on any single market or industry. This global mandate allows the managers to seek out the most compelling dividend opportunities worldwide, from established blue-chip companies in developed markets to growing leaders in emerging economies. For individuals aiming to supplement their income or cultivate a source of passive returns, this investment vehicle presents a compelling option, merging the potential for a steady dividend stream with active management aimed at navigating market complexities.
Other Exchange Listings
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