SIA Long Term Investment Fund Natural Resources

Investment Philosophy: value applied in Natural Resources

The SIA LTIF Natural Resources focuses on listed equities in Energy, Mining, Infrastructures, and Agrifood, looking for diversification within the natural resources space. Applying a rigorous quality-and-value investment approach, the Fund seeks to capture opportunities across commodity cycles while maintaining resilience through downturns.

SIA LTIF Natural Resources vs Global Natural Resources

Price / General Information (May 29, 2026) 

Net PerformanceFund
1 year rolling49.0%
3 years rolling67.0%
5 years rolling102.9%

Key Investment Data

Key DataFund
Dividend yield (aggregated Bloomberg  estimate)4.47%
Expect return (as estimated by SIA)14.1%
Instrinsic value (as estimated by SIA)€255
Number of equity positions40
Top 5 HoldingGeographic Region%Sector%
TGS ASANorway23.8%Energy43.2%
Viscofan SAUnited States16.3%Consumer Staples25.7%
Occidental Petroleum CorpSpain8.2%Materials21.4%
Bakkafrost P/FCanada7.5%Industrials9.8%
Nexans SAAustralia7.1%  
 France7.0%  
 UK6.6%  
 Others23.5%  

SIA LTIF Share Classes

SIA LTIF A Class

 

CURRENCYEURCHFUSD
ISIN NumberLU0244072335LU0301246939LU0301247234
WKNA0ML6CA0NAYJA0NAYH
Telekurs valor2.432.5753.101.8363.101.839
Bloomberg tickerLTIFGEV LXLTIFGEC LXLTIFGEU LX
Minimum subscr.NONONO
Distributionreinvestedreinvestedreinvested
Fact SheetEN | DEEN | DEEN | DE
PRIIPEN | DE | FR | IT | ESEN | DE | FR | IT | ESEN | DE | FR | IT | ES

SIA LTIF Retail Class

 

CURRENCYEUR
ISIN NumberLU2022172576
WKNA3D3VM
Telekurs valor48.704.577
Bloomberg tickerLOTIREB LX
Minimum subscr.NO
Distributionreinvested
Fact SheetEN | DE
PRIIPEN | DE | FR | IT | ES

SIA LTIF Institutional Class

CURRENCYEURCHF
ISIN NumberLU3103671254LU3103671171
WKNA41FXHA41FXG
Telekurs valor146.252.528146.252.524
Bloomberg tickerLTIFGIE LXLTIFGIC LX
Minimum subscr.5 mio.5 mio.
Distributionreinvestedreinvested
Fact SheetEN | DEEN | DE
PRIIPEN | DE | FR | IT | ESEN | DE | FR | IT | ES

Other Downloads

Prospectus

EN | DE

Operating Manual

EN

Dealing Guidelines

EN

Client Information FIDLEG

EN

Characteristics

The SIA Long Term Investment Fund Natural Resources is a Sub-Fund of SIA Long Term Investment Fund. The Company is a Luxembourg Investment Company with multiple sub-funds organised as a “société anonyme” incorporated on February 2, 2006. It is a Part I (UCITS) of the Luxembourg law of 17th December 2010 as a “Société d’Investissement à Capital Variable” (SICAV).

  • Investment Manager: SIA Funds AG, Lachen, Switzerland

  • Central administration Agent: Pictet and Cie (Europe) S.A., Luxembourg

  • Custodian: Pictet and Cie (Europe) S.A., Luxembourg

  • Auditors: Deloitte S.A., Luxembourg

Fees

SIA LTIF A Class
Management fee – 1.5% p.a.
Performance fee – 15% (HWM)

SIA LTIF Retail Class
Management fee – 2% p.a.
Performance fee – NO

SIA LTIF Institutional Class
Management fee – 1% p.a.
Performance fee – 15% (HWM)