SICAVS

GAMCO GAMCO Convertible Securities Class X USD

GAMCO GAMCO Convertible Securities Class X USD
Share Class Inception Date
1/4/2021
YTD Return
13.898%
NAV
$10.09
1 Day NAV Change
0.000%
Liquidity

Daily

Base Currency
USD
AUM
$0M
Minimum Initial Investment
$25,000,000
ISIN
LU2264533774
Bloomberg Ticker
GAGCSXU LX
Share Class Hedging
Base Class
Domicile
Luxembourg
SFDR Classification
Article 6
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Description of Strategy

The Sub-Fund’s primary investment objective is to provide current income as well as long term capital appreciation by following a total return strategy and investing in a diversified portfolio of convertible securities.

Historical Performance

Growth of $1,000,000 (Net)

$-

Inception date to 05/13/2025

A graphical measurement of a portfolio’s net return that simulates the performance of an initial investment of $1,000,000 over the given time period.

Trailing Returns

As of 05/13/2025

Calendar Year Returns

Portfolio Details

Fees

Annual Management Fee

0.00%

Annual Performance Fee

0.00%

Disclosures

The GAMCO International SICAV (the “Fund”) is for non-U.S. investors and is not offered or sold to U.S. investors. This foregoing does not constitute an offer to anyone, or a solicitation by anyone, to subscribe for shares of the Fund. The Fund is a Luxembourg-registered UCITS. Nothing in the foregoing should be construed as advice and is therefore not a recommendation to buy or sell shares. The content provided should be read in conjunction with the Prospectus and the relevant Simplified Prospectuses. All transactions should be based on the latest available Prospectus, Simplified Prospectuses, and local offering document (as applicable), which contain more information regarding charges, entry fees and minimum investment amount. A copy of the Prospectus, Simplified Prospectuses, local offering document, annual report, semi-annual report and the articles of incorporation are available free of charge upon request from CACEIS Bank, Luxembourg Branch; 14, Porte de France, L-4360 Esch. sur Alzette, Grand-Duchy of Luxembourg Tel. +352 2605 9730, the Swiss Representative ACOLIN Fund Services AG, Maintower, Thurgauerstrasse 36/38,8050 Zurich,Switzerland, your financial adviser or your regional contact, and the Swiss Paying Agent is Banque Cantonale deGenève, 17, quaidel’Ile, CH-1204Geneva. More information is available at www.gabelli.com.

Past performance is no guarantee of future results. Total returns and average annual returns are historical and reflect changes in share price, reinvestment of dividends and capital gains, and are net of expenses. Due to market volatility, current performance may be lower or higher than the figures shown. Principal Risk factors can be found in Appendix I of the prospectus. Please read carefully before investing.

 

Investors should carefully consider the investment objectives, risks, charges and expenses of the Fund before investing. The prospectus, which contains more complete information about this and other matters, should be read carefully before investing. To obtain a prospectus, please call +1-914-921-5135 or visit www.gabelli.com or email SICAVinfo@gabelli.com

 

You can obtain a Prospectus and Simplified Prospectus free of charge upon request from CACEIS Bank, Luxembourg Branch; 14, Porte de France, L-4360 Esch. sur Alzette, Grand-Duchy of Luxembourg Tel. +352 2605 9730, or by visiting www.gabelli.com.

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