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Het Subfonds streeft ernaar op de lange termijn beter te presteren dan de Benchmark door de positieve en negatieve visie van Robeco op in aanmerking komende beursgenoteerde aandelen en aandelengerelateerde effecten te weerspiegelen. De relatieve aantrekkelijkheid van aandelen wordt bepaald met Robeco's eigen kwantitatieve rankingmodel voor aandelen, dat rekening houdt met bewezen rendementsfactoren zoals value, quality en momentum. Robeco heeft een overweging in aandelen met een aantrekkelijke waardering, een winstgevend bedrijfsmodel, een sterk koersmomentum en positieve actuele beoordelingen van analisten. Als gevolg van deze overwegingen heeft het Subfonds een daarmee overeenkomende onderweging in de overige aandelen in de Benchmark. 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Ze is verantwoordelijk voor kwantitatieve aandelenstrategieën en is gespecialiseerd in anomalieën in asset pricing, portefeuilleconstructie en duurzaamheidsintegratie. Ze heeft artikelen gepubliceerd in verschillende wetenschappelijke tijdschriften, onder andere in het Journal of Impact and ESG Investing, het Journal of Banking and Finance, het Journal of International Money and Finance, het Journal of Empirical Finance en het Financial Analysts Journal. Zij is gastdocent bij verschillende universiteiten. Wilma trad in 2001 als kwantitatieve onderzoeker in dienst bij Robeco. Wilma is afgestudeerd in econometrie aan Tilburg University en gepromoveerd in finance aan de Erasmus Universiteit Rotterdam. Ze is een CFA®-charterholder. Machiel Zwanenburg is portefeuillemanager Quantitative Equities. Hij is gespecialiseerd in kwantitatieve aandelenselectie en portefeuilleopbouw. Een van zijn specialismes is duurzaamheidsintegratie in kwantitatieve aandelen. Eerder was hij werkzaam als Risk Manager en als hoofd van Client Portfolio Risk bij Robeco. Machiel kwam in 1999 bij Robeco in dienst als lid van het Quant Research-team. Hij studeerde econometrie aan de Erasmus Universiteit Rotterdam en economie aan de London School of Economics. Vania Sulman is portefeuillemanager Quantitative Equities. Ze is gespecialiseerd in aandelenselectie en duurzaamheidsintegratie voor maatwerkportefeuilles. Ze kwam in 2022 terug bij Robeco. Daarvoor was ze drie jaar werkzaam als datawetenschapper en nog eerder als kwantitatieve onderzoeker bij Robeco met een focus op kwantitatieve aandelenselectie. Ze begon haar carrière in de beleggingssector in 2016 bij Robeco. Vania is (cum laude) afgestudeerd in Quantitative Finance aan de Erasmus Universiteit Rotterdam. Dean Walsh is portefeuillemanager Quantitative Equities. Dean is gespecialiseerd in kwantitatieve aandelenselectie, portefeuilleconstructie en integratie van duurzaamheid. Voordat hij in 2023 bij Robeco in dienst trad, werkte hij bij Mercer Global Investments als manager van valutaportefeuilles en als hoofd van de Portfolio Intelligence-afdeling. In deze functie leidde hij het kwantitatief onderzoek, waaronder het werk aan factorportefeuilles, duurzaam en Paris-aligned beleggen en risicobeheer. Hij begon zijn carrière in de beleggingssector in 2013 bij JP Morgan. Dean behaalde zijn Master in Quantitative Finance aan University College Dublin. Hij is een CFA®- en CAIA®-charterholder. Wouter Tilgenkamp is portefeuillemanager Quantitative Equities. Wouter werkt sinds 2016 bij Robeco als datawetenschapper. Hij begon zijn financiële carrière in 2014 bij Optiver als handelaar in derivaten. Hij heeft een bachelor in toegepaste wiskunde van de Technische Universiteit Delft en een master in quantitative finance van de Erasmus Universiteit Rotterdam. Koen Rijnen is portefeuillemanager Quantitative Equities. Koen is gespecialiseerd in portefeuilleconstructie en duurzaamheidsintegratie in kwantitatieve aandelen. Hij kwam in 2022 in dienst bij Robeco. Daarvoor was hij werkzaam als Hedging Specialist en Balance Sheet Manager bij Aegon. Hij begon zijn carrière in consultancy in 2015 en begon in 2018 in de beleggingssector. Koen studeerde cum laude af in waterbouwkunde aan de Technische Universiteit Delft. 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fonds is gevestigd in Nederland. Het fonds wordt beheerd als een naamloze vennootschap. Het fonds heeft de status van 'fiscale beleggingsinstelling' in de betekenis van artikel 28 van de Wet op de vennootschapsbelasting van 1969 en is derhalve onderworpen aan een vennootschapsbelastingtarief van 0%. Het fonds is verplicht zijn gerealiseerde inkomsten binnen 8 maanden na het einde van het boekjaar uit te keren als dividend. Op deze dividenduitkeringen houdt het fonds een dividendbelasting in van 15%. In principe kan het fonds het Nederlandse verdragsnetwerk gebruiken om een deel van de bronbelasting op inkomsten terug te vragen. Het resterende deel aan bronbelasting kan worden teruggevraagd bij de Nederlandse Belastingdienst.",{"id":699,"internal":699,"anchor":699,"title":700,"enabled":127},{"data":1231,"subMenuItem":1232},"Voor een particuliere belegger woonachtig in Nederland is de werkelijk ontvangen rente, dividend of koerswinst fiscaal niet relevant. Voor Nederlands belastingplichtige particuliere beleggers horen de participaties thuis in box 3. Beleggers betalen ieder jaar belasting over een forfaitair rendement berekend over de waarde van hun bezittingen per 1 januari. Het rendement is afhankelijk van de pro-rata allocatie van de bezittingen aan de verschillende categorieën bezittingen (onderscheidenlijk spaartegoeden, schulden of overige bezittingen). De participaties kwalificeren als overige bezittingen waarvoor het rendementspercentage is vastgesteld op 6,04% (per 1\u002F1\u002F2024, 6,17% per 1\u002F1\u002F2023). Het rendementspercentage wordt jaarlijks aangepast aan de historische rendementen van voorgaande jaren. Het saldo van de verschillende categorieën bezittingen wordt de rendementsgrondslag genoemd. Het effectieve rendementspercentage wordt vervolgens berekend door het rendement te delen door de rendementsgrondslag. Dit effectieve rendementspercentage wordt toegepast op de grondslag sparen en beleggen om het voordeel uit sparen en beleggen te berekenen. De grondslag sparen en beleggen is gelijk aan de rendementsgrondslag verminderd met het heffingvrije vermogen. Over dit berekende voordeel uit sparen en beleggen betalen beleggers inkomstenbelasting (36% in 2024, 32% in 2023). De ingehouden Nederlandse dividendbelasting (15% per 1\u002F1\u002F2024) is voor in Nederland woonachtige beleggers verrekenbaar met de te betalen inkomstenbelasting. Beleggers die niet onderworpen zijn aan (vrijgesteld van) Nederlandse vennootschapsbelasting (o.a. Nederlandse pensioenfondsen) worden niet belast voor het behaalde resultaat. Nederlandse vrijgestelde lichamen kunnen de op dividenden ingehouden dividendbelasting van 15% volledig terugvorderen.Beleggers die zijn onderworpen aan Nederlandse vennootschapsbelasting kunnen worden belast voor het resultaat behaald op hun investering in het fonds, daaronder begrepen dividendinkomsten en koersresultaten. Nederlandse Vpb-plichtige lichamen kunnen de op dividenden ingehouden dividendbelasting (15% per 1\u002F1\u002F2024) in beginsel verrekenen met de vennootschapsbelasting en het meerdere onder voorwaarden verrekenen in latere jaren. Voor beleggers buiten Nederland geldt hun eigen nationale belastingwetgeving met betrekking tot buitenlandse beleggingsfondsen. Aandeelhouders die niet belastingplichtig zijn in Nederland en die woonachtig zijn in landen die een verdrag ter voorkoming van dubbele belasting hebben met Nederland, kunnen afhankelijk van het verdrag (een deel van) de Nederlandse dividendbelasting terugvorderen bij de Nederlandse fiscus. Een in een andere EU-lidstaat of land dat met Nederland een informatieuitwisselingsverdrag heeft afgesloten gevestigd pensioenfonds dat vergelijkbaar is met een Nederlands pensioenfonds heeft ook recht op teruggaaf van Nederlandse dividendbelasting. Het voorgaande is gebaseerd op de huidige Nederlandse fiscale wetgeving.",{"id":702,"internal":702,"anchor":702,"title":703,"enabled":127},{"vehicleType":1234,"fundSubType":1235,"date":620,"fundAllocations":1236,"policies":1379,"isAssetAllocation":128,"subMenu":1432,"etfFileUrl":1435},"Mutual","Not swap",{"data":1237,"subMenuItem":1376},{"date":620,"allocations":1238,"top10":1345,"top5Short":1374,"top5Long":1375,"top10Explanation":1300},[1239,1248,1298],{"type":1240,"allocation":1241},"asset",[1242,1245],{"subtype":1243,"fundValue":1244},"Equity","99.819999999999993",{"subtype":1246,"fundValue":1247},"Cash","0.180000000000000",{"type":1249,"allocation":1250},"country",[1251,1255,1259,1263,1267,1271,1275,1279,1282,1285,1289,1292,1295],{"subtype":1252,"fundValue":1253,"benchmarkDeviation":1254},"Verenigde Staten","61.899999999999999","-1.600000000",{"subtype":1256,"fundValue":1257,"benchmarkDeviation":1258},"Overig","8.400000000000000","-6.500000000",{"subtype":1260,"fundValue":1261,"benchmarkDeviation":1262},"Japan","6.600000000000000","1.600000000",{"subtype":1264,"fundValue":1265,"benchmarkDeviation":1266},"China","5.500000000000000","3.000000000",{"subtype":1268,"fundValue":1269,"benchmarkDeviation":1270},"Canada","3.200000000000000","0.200000000",{"subtype":1272,"fundValue":1273,"benchmarkDeviation":1274},"Zuid-Korea","2.800000000000000","0.000000000",{"subtype":1276,"fundValue":1277,"benchmarkDeviation":1278},"Taiwan","2.600000000000000","-0.700000000",{"subtype":261,"fundValue":1280,"benchmarkDeviation":1281},"2.400000000000000","1.200000000",{"subtype":369,"fundValue":1283,"benchmarkDeviation":1284},"1.500000000000000","1.100000000",{"subtype":1286,"fundValue":1287,"benchmarkDeviation":1288},"Brazilië","1.300000000000000","0.800000000",{"subtype":1290,"fundValue":1287,"benchmarkDeviation":1291},"Duitsland","-0.600000000",{"subtype":1293,"fundValue":1287,"benchmarkDeviation":1294},"Finland","1.000000000",{"subtype":1296,"fundValue":1287,"benchmarkDeviation":1297},"Zweden","0.500000000",{"type":1299,"explanation":1300,"allocation":1301},"sector","Sectoren geclassificeerd volgens de Global Industry Classification Standard (“GICS”)",[1302,1306,1310,1314,1318,1322,1326,1328,1331,1335,1339,1342],{"subtype":1303,"fundValue":1304,"benchmarkDeviation":1305},"Informatie technologie","32.799999999999997","0.600000000",{"subtype":1307,"fundValue":1308,"benchmarkDeviation":1309},"Financiele dienstverlening","17.300000000000001","1.700000000",{"subtype":1311,"fundValue":1312,"benchmarkDeviation":1313},"Consument cyclisch","10.600000000000000","1.500000000",{"subtype":1315,"fundValue":1316,"benchmarkDeviation":1317},"Farmacie en gezondheidszorg","10.100000000000000","2.300000000",{"subtype":1319,"fundValue":1320,"benchmarkDeviation":1321},"Communicatiediensten","9.600000000000000","1.300000000",{"subtype":1323,"fundValue":1324,"benchmarkDeviation":1325},"Industrie en dienstverlening","8.800000000000001","-1.900000000",{"subtype":1327,"fundValue":1273,"benchmarkDeviation":1281},"Onroerend goed",{"subtype":1329,"fundValue":1277,"benchmarkDeviation":1330},"Consument defensief","-2.100000000",{"subtype":1332,"fundValue":1333,"benchmarkDeviation":1334},"Basismaterialen","2.200000000000000","-1.500000000",{"subtype":1336,"fundValue":1337,"benchmarkDeviation":1338},"Nutsbedrijven","1.900000000000000","-0.500000000",{"subtype":1340,"fundValue":1287,"benchmarkDeviation":1341},"Energie","-2.400000000",{"subtype":1343,"fundValue":1344,"benchmarkDeviation":1274},"Liquide middelen en andere waardepapieren","0.000000000000000",[1346,1349,1352,1355,1358,1360,1363,1366,1368,1371],{"name":1347,"sector":1303,"weight":1348},"NVIDIA Corp","4.760000000000000",{"name":1350,"sector":1303,"weight":1351},"Apple Inc","3.890000000000000",{"name":1353,"sector":1319,"weight":1354},"Alphabet Inc (Class A)","2.730000000000000",{"name":1356,"sector":1311,"weight":1357},"Amazon.com Inc","2.130000000000000",{"name":1359,"sector":1303,"weight":1357},"Microsoft Corp",{"name":1361,"sector":1319,"weight":1362},"Alphabet Inc (Class C)","1.770000000000000",{"name":1364,"sector":1303,"weight":1365},"Taiwan Semiconductor Manufacturing Co Lt","1.570000000000000",{"name":1367,"sector":1303,"weight":1287},"Broadcom Inc",{"name":1369,"sector":1303,"weight":1370},"Cisco Systems Inc","1.080000000000000",{"name":1372,"sector":1303,"weight":1373},"ASML Holding NV","1.050000000000000",[],[],{"id":1377,"anchor":1377,"internal":1378,"title":1378,"enabled":127},"fund-allocation","fund.detail.tabs.portfolio.fund-allocation",{"data":1380,"subMenuItem":1429},[1381,1393,1405,1417],{"id":1382,"title":1382,"text":1383},"fund.detail.tabs.portfolio.policies.currency-policy",{"nodeType":42,"data":1384,"content":1385},{},[1386],{"nodeType":46,"data":1387,"content":1388},{},[1389],{"nodeType":50,"data":1390,"value":1391,"marks":1392},{},"Het valutarisico wordt niet afgedekt. Wisselkoersveranderingen hebben daarom direct invloed op de koers van het fonds.",[],{"id":1394,"title":1394,"text":1395},"fund.detail.tabs.portfolio.policies.dividend-policy",{"nodeType":42,"data":1396,"content":1397},{},[1398],{"nodeType":46,"data":1399,"content":1400},{},[1401],{"nodeType":50,"data":1402,"value":1403,"marks":1404},{},"In principe keert deze aandelencategorie van het fonds dividend uit.",[],{"id":1406,"title":1406,"text":1407},"fund.detail.tabs.portfolio.policies.investment-policy",{"nodeType":42,"data":1408,"content":1409},{},[1410],{"nodeType":46,"data":1411,"content":1412},{},[1413],{"nodeType":50,"data":1414,"value":1415,"marks":1416},{},"Robeco QI Global Active Equities Fund is een actief beheerd subfonds dat wereldwijd belegt in aandelen van bedrijven. Het Subfonds streeft ernaar op de lange termijn beter te presteren dan de Benchmark door de positieve en negatieve visie van Robeco op in aanmerking komende beursgenoteerde aandelen en aandelengerelateerde effecten te weerspiegelen. De relatieve aantrekkelijkheid van aandelen wordt bepaald met Robeco's eigen kwantitatieve rankingmodel voor aandelen, dat rekening houdt met bewezen rendementsfactoren zoals value, quality en momentum. Robeco heeft een overweging in aandelen met een aantrekkelijke waardering, een winstgevend bedrijfsmodel, een sterk koersmomentum en positieve actuele beoordelingen van analisten. Als gevolg van deze overwegingen heeft het Subfonds een daarmee overeenkomende onderweging in de overige aandelen in de Benchmark. Het Subfonds is gericht op vermogensaanwas op lange termijn.\nHet fonds streeft naar een beter duurzaamheidsprofiel dan de Benchmark door kenmerken op het gebied van milieu en maatschappij (environmental and social; E&S) te bevorderen volgens Artikel 8 van de Sustainable Finance Disclosure Regulation van de EU, duurzaamheidsrisico's te integreren in het beleggingsproces en Robeco's beleid voor goed ondernemingsbestuur toe te passen. Het fonds hanteert duurzaamheidsindicatoren, waaronder, maar niet beperkt tot, uitsluitingen op basis van normen, activiteiten en regio's, stemmen bij volmacht en engagement.",[],{"id":1418,"title":1418,"text":1419},"fund.detail.tabs.portfolio.policies.risk-policy",{"nodeType":42,"data":1420,"content":1421},{},[1422],{"nodeType":46,"data":1423,"content":1424},{},[1425],{"nodeType":50,"data":1426,"value":1427,"marks":1428},{},"Risicobeheer is volledig geïntegreerd in het beleggingsproces om te zorgen dat de posities altijd binnen vastgestelde richtlijnen 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