ETFs

Global Value Fund

Select Share Class
Fund Ticker
HWGV
Fund Style
V B G
L M S
Fund Category
Global Large-Stock Value

Long Term Performance (%) Average Annual Total Returns for periods greater than one year

As of 08/31/2026
 1 MONTH3 MONTHYTD1 YEAR3 YEAR5 YEAR10 YEARSINCE 12/31/2012
ETF shares (NAV)4.148.8215.9622.2119.9412.9011.6210.98
ETF shares (Market Price)3.568.2115.3221.5319.7212.7811.5610.94
MSCI World Value Index2.555.8817.3923.4118.8511.3610.329.70
MSCI World Index2.582.3613.1020.3720.1111.2113.0111.99
 1 MONTH3 MONTHYTD1 YEAR3 YEAR5 YEAR10 YEARSINCE 12/31/2012
ETF shares (NAV)-0.109.976.4716.3217.9411.2011.4710.43
ETF shares (Market Price)-0.109.976.4716.3217.9411.2011.4710.43
MSCI World Value Index-0.339.2110.5020.8416.8510.5110.169.34
MSCI World Index-0.7213.769.6921.3419.2411.4713.1411.89

Calendar Year Performance (%)

As of 06/30/2026
 2025202420232022202120202019201820172016
ETF shares23.779.4327.89-11.6626.67-0.5924.52-16.0316.7816.41
MSCI World Value Index20.7911.4711.51-6.5221.94-1.1621.75-10.7817.1012.33
MSCI World Index21.0918.6723.79-18.1421.8215.9027.67-8.7122.407.51

Growth of $10,000 since fund inception as of 08/31/2026

As of 08/31/2026
 HWGVMSCI World Value Index
2012-12-311000010000
2013-01-311047010586
2013-02-281048010555
2013-03-311102010763
2013-04-301128011159
2013-05-311161011157
2013-06-301149010928
2013-07-311211011445
2013-08-311185011183
2013-09-301236011645
2013-10-311275012083
2013-11-301321012242
2013-12-311356112428
2014-01-311317012061
2014-02-281376812524
2014-03-311393112649
2014-04-301404012814
2014-05-311420312943
2014-06-301447513132
2014-07-311397512971
2014-08-311443113139
2014-09-301396412850
2014-10-311385512861
2014-11-301409412977
2014-12-311395112822
2015-01-311358212534
2015-02-281445013076
2015-03-311414112860
2015-04-301455713173
2015-05-311461713159
2015-06-301418912877
2015-07-311443812960
2015-08-311342712311
2015-09-301284511932
2015-10-311348712700
2015-11-301355812614
2015-12-311308012417
2016-01-311230211844
2016-02-291195811775
2016-03-311328412460
2016-04-301371712708
2016-05-311353912725
2016-06-301287612604
2016-07-311337312978
2016-08-311383213072
2016-09-301393413098
2016-10-311378113021
2016-11-301472413298
2016-12-311522613641
2017-01-311548313774
2017-02-281568914007
2017-03-311580514060
2017-04-301590714115
2017-05-311638314203
2017-06-301647314339
2017-07-311678114564
2017-08-311662714482
2017-09-301728214785
2017-10-311719214885
2017-11-301734715094
2017-12-311778215235
2018-01-311875915662
2018-02-281802615154
2018-03-311774114936
2018-04-301842015069
2018-05-311805314932
2018-06-301805314917
2018-07-311850115283
2018-08-311839215227
2018-09-301861015322
2018-10-311683114792
2018-11-301660114954
2018-12-311493114176
2019-01-311661614895
2019-02-281712315152
2019-03-311657115173
2019-04-301748115462
2019-05-311609414833
2019-06-301722815459
2019-07-311721315442
2019-08-311615415129
2019-09-301695915522
2019-10-311758515729
2019-11-301812215932
2019-12-311859116236
2020-01-311770415944
2020-02-291606614983
2020-03-311187413306
2020-04-301273114182
2020-05-311332714462
2020-06-301371014532
2020-07-311384814786
2020-08-311468915250
2020-09-301398514930
2020-10-311407714647
2020-11-301753516148
2020-12-311848216504
2021-01-311843616403
2021-02-282065616873
2021-03-312144917444
2021-04-302213217759
2021-05-312315718053
2021-06-302242717914
2021-07-312221017975
2021-08-312264418138
2021-09-302228717836
2021-10-312331218290
2021-11-302207017911
2021-12-312341218569
2022-01-312395918443
2022-02-282338118280
2022-03-312316218508
2022-04-302134818010
2022-05-312234918218
2022-06-301976817334
2022-07-312101917790
2022-08-312023717483
2022-09-301789116634
2022-10-312011217604
2022-11-302173918327
2022-12-312068218081
2023-01-312307118548
2023-02-282263218256
2023-03-312214518188
2023-04-302250218379
2023-05-312183617920
2023-06-302325018516
2023-07-312467918900
2023-08-312407818624
2023-09-302350918342
2023-10-312256718000
2023-11-302458218738
2023-12-312645019277
2024-01-312625019303
2024-02-292684919544
2024-03-312857320013
2024-04-302755719673
2024-05-312886319990
2024-06-302826419903
2024-07-312957020380
2024-08-312991520664
2024-09-302984221014
2024-10-312948020560
2024-11-303002421352
2024-12-312894320131
2025-01-313014821037
2025-02-283089621368
2025-03-313066821100
2025-04-303033520812
2025-05-313185221448
2025-06-303278722235
2025-07-313230922329
2025-08-313399223130
2025-09-303451223531
2025-10-313411723416
2025-11-303434623910
2025-12-313582424317
2026-01-313657725458
2026-02-283735426204
2026-03-313468124603
2026-04-303696626360
2026-05-313817726959
2026-06-303814026869
2026-07-313989027835
2026-08-314154228545

The Global Value Fund offers both mutual fund share classes and ETF share class, invested in the same portfolio of securities. ETF shares are listed and traded on a national securities exchange and are not individually redeemable, unlike mutual fund shares. An investment in an ETF share class is not an investment in a mutual fund share class.

Investment performance reflects fee waivers in effect. In the absence of such waivers, total return would be reduced. The Advisor has contractually agreed to waive advisory fees and/or reimburse expenses through August 29, 2027.

Performance shown for the Since Inception period and prior to the inception of the ETF Share Class is based on the performance of the Fund’s I shares, a mutual fund share class. The ETF commenced August 27, 2026. For the period from inception date to commencement of the ETF, the NAV for the I shares is used as a proxy for the market price to calculate returns.

The performance data quoted represents past performance and does not guarantee future results. Current performance may be lower or higher. Investment return and principal value of the fund will fluctuate, and shares may be worth more or less than their original cost when redeemed. 

You should consider the Hotchkis & Wiley Global Value Fund’s investment objectives, risks, and charges and expenses carefully before you invest. This and other important information is contained in the Fund’s summary prospectus and prospectus, which can be obtained by calling 800-796-5606. Read carefully before you invest.

Investing involves risk. Principal loss is possible.  The Fund may invest in foreign and emerging markets securities, which subjects the Fund to increased risk. Please read the fund prospectus for a full list of fund risks.

Diversification does not assure a profit nor protect against loss in a declining market.

ETFs are subject to additional risks that do not apply to conventional mutual funds, including the risks that the market price of an ETF’s shares may trade at a premium or discount to its net asset value (NAV), an active secondary trading market may not develop or be maintained, or trading may be halted by the exchange in which they trade, which may impact an ETF’s ability to sell its shares. Unlike mutual funds, ETF shares are bought and sold at market price, which may be higher or lower than their NAV, and are not individually redeemed from the fund. Brokerage commissions will reduce returns.

The Growth of $10,000 Since Fund Inception chart reflects a hypothetical $10,000 investment in the class of shares noted. Assumes reinvestment of dividends and capital gains. Performance for other share classes will vary.

©2026 Morningstar. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.

The Morningstar Style BoxTM reveals a fund’s investment strategy. For equity funds the vertical axis shows the market capitalization of the long stocks owned and the horizontal axis shows investment style (value, blend, or growth). A darkened square in the style box indicates the weighted average style of the portfolio.

MSCI makes no express or implied warranties or representations and shall have no liability whatsoever with respect to any MSCI data contained herein. The MSCI data may not be further redistributed or used as a basis for other indices or any securities or financial products. This report is not approved, reviewed, or produced by MSCI. See Index definitions for full disclaimer.

The Hotchkis & Wiley Funds are distributed by Quasar Distributors, LLC

Index definitions

HOTCHKIS & WILEY
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