Stocks
Ranmore Fund's 150% Five-Year Return: Reassessing U.S.-Outside Investments
724FinanceSinan Kılıç
The CIO of Ranmore Funds is not overly enthusiastic about current U.S. valuations, yet the beaten-down software sector is drawing him back in. This shift signals a broader rebalancing toward non-U.S. markets. The fund's 150% five-year return, which reflects just 10% U.S. exposure, underscores the growing divergence in global valuations. Investors are now reassessing the potential for higher long-term returns in non-U.S. markets. The software sector's competitive strength appears to be the primary driver behind the fund's shift toward non-U.S. equities. This reflects the increasing significance of technology globally.