Value investing redefined

The Oakmark family of mutual funds is an extension of Harris Associates’ value-focused approach to investing. For more about our selection of funds, visit Oakmark.com.

The Oakmark Funds

111 South Wacker Drive, Suite 4600
Chicago, Illinois 60606
1-800-OAKMARK (625-6275)

Global Concentrated

Global Concentrated portfolios hold a focused selection of large-cap U.S. and international equities, with portfolios limited to approximately 20 securities.

Strategy’s Best Use:

Investors seeking exposure to a focused selection of large-cap U.S. and international stocks.

Portfolio Construction:

Our bottom-up portfolio construction leads to the selection of approximately 20 attractive large-cap companies from our approved list of U.S. and international stocks. The market capitalization focus is greater than $5 billion at the time of initial purchase. We do not strive for specific country, sector or industry exposure in the Global Concentrated strategy. Instead, these allocations are determined strictly by stock selection. Typically, portfolios have no more than 30 percent invested in any country (except U.S.), 30 percent in any industry and are subject to a 15 percent maximum position size at the time of initial purchase. 

Foreign currency exposure may be hedged defensively in the Global Concentrated strategy for any currencies that we believe are significantly overvalued. Investment in emerging market securities is permitted only in countries that meet our legal standards.

A Value Approach at Its Core:

Global Concentrated portfolios are composed of securities that we believe trade at a significant discount to our estimate of intrinsic value, have intrinsic values that grow with time and have shareholder-oriented management teams. 

What to Expect as a Client:

You can expect to receive the highest level of care from our experienced and responsive client services team regardless of the size of the portfolio you entrust with us. 

Commentary

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Global Concentrated Strategy

Global Concentrated Strategy - Global equities finished higher during the quarter, with 10 of 11 GICS sectors posting positive...

Growth of a $10,000 Investment

From 03/31/2007 to 09/30/2025

Growth chart is presented Net of Fees.

Past performance is no guarantee of future results. Current performance may be lower or higher than the performance data quoted. The gross performance presented below does not reflect the deduction of investment advisory fees. All returns reflect the reinvestment of dividends and capital gains and the deduction of transaction costs. The client’s return will be reduced by the advisory fees and other expenses it may incur in the management of its account.  The advisory fee, compounded over a period of years, will have an adverse effect on the value of the client’s portfolio.

The MSCI World Index (Net) is a free float-adjusted, market capitalization-weighted index that is designed to measure the global equity market performance of developed markets. The index covers approximately 85% of the free float-adjusted market capitalization in each country. This benchmark calculates reinvested dividends net of withholding taxes. This index is unmanaged and investors cannot invest directly in this index. Benchmark returns are not covered by the report of the independent verifiers.

Performance Returns

  • Returns % as of 11/30/2025
  • Returns % as of 09/30/2025
QTD
YTD
1YR
3YR
5YR
10YR
Since Inception
Global Concentrated Composite Gross of Fees
-0.30%
12.87%
9.85%
13.67%
9.66%
9.59%
8.60%
Global Concentrated Composite Net of Fees
-0.43%
12.07%
9.00%
12.79%
8.81%
8.75%
7.70%
MSCI World Index
2.29%
20.12%
16.99%
19.11%
12.90%
11.88%
7.90%
QTD
YTD
1YR
3YR
5YR
10YR
Since Inception
Global Concentrated Composite Gross of Fees
2.02%
13.21%
9.05%
19.87%
13.99%
10.55%
8.69%
Global Concentrated Composite Net of Fees
1.83%
12.56%
8.21%
18.95%
13.11%
9.69%
7.79%
MSCI World Index
7.27%
17.43%
17.25%
23.72%
14.41%
12.43%
7.84%
Composite Inception: 04/01/2007

Returns for periods of less than one year are not annualized.

Portfolio Characteristics

As of 09/30/2025

Median Market Cap

$53,648 M

Weighted Average Market Cap

$200,448 M

Current Price to Earnings Ratio

13.7

Projected Price to Earnings

12.7

Current Price to Book Ratio

2.0

Projected Price to Book

1.9

Current Price to Cash Flow

12.6

Projected Price to Cash Flow

16.5

Number of Securities

27

Portfolio Turnover

52%

Dividend Yield

2.1%

Beta vs. Benchmark

1.181

Standard Deviation

20.66%

Active Share

96.53%

Equity Sector Breakdowns

As of 09/30/2025

Top 10 Equities and Equivalents

As of 09/30/2025

Total % in Top 10 Holdings 47.5%

Total # of Holdings 27

Portfolio holdings are subject to change and are not intended as recommendations of individual securities. Individual security weights may not add to the displayed total due to rounding. Holdings and sector allocations are shown as percent of the strategy.

Country Allocations

As of 09/30/2025

Emerging Markets consists of: China; cash will not be shown.