Fund Overview

The International Value Fund seeks to own 40-80 of the most attractively valued companies across the market cap spectrum located outside of the United States. The Fund has a great deal of flexibility with respect to market cap and geography and will hold many of the firm’s best investment ideas. We look for durable businesses run by shareholder-friendly management teams that are trading at attractive valuations relative to long-run normalized earnings.

As of

Nav $ Change % Change
Market Price $ Change % Change
30-DAY MEDIAN
BID/ASK SPREAD (%)
PREMIUM/
DISCOUNT (%)
SHARES
OUTSTANDING
# OF
HOLDINGS
- - -
30-DAY MEDIAN
BID/ASK SPREAD (%)
PREMIUM/
DISCOUNT (%)
- -
SHARES
OUTSTANDING
# OF
HOLDINGS
20,000

Net Asset Value (NAV) - Fund’s assets less its liabilities, divided by number of shares outstanding; Premium/Discount - Difference between closing market price and net asset value; 30-Day Median Bid/Ask Spread - Computed by identifying the Fund’s national best bidding and asking (offering) prices as of the end of each 10-second interval during each trading day during the past 30 calendar days, dividing the difference between each such bid and offer by the midpoint of the national best bid and national best offer, and identifying the median of those values.

Fund Facts

As of 05/31/2025

Ticker HWIV
CUSIP 44134R438
Primary Exchange Nasdaq
Fund Inception 12/31/2015
ETF Share Class Inception 07/01/2026
Gross Expense Ratio* 0.55%
Net Expense Ratio* 0.55%
Dividend Schedule
  • Ex-Date: 12/02/2025
  • Record Date: 12/02/2025
  • Payable Date: 12/03/2025
Annual
Size of Fund (millions) $5

*As of 07/01/2026

As of

Top 10 Holdings

Ticker CUSIP # of Shares Description Market Value $ % of Total Portfolio

Fund holdings subject to change and do not represent a recommendation to buy or sell any security.

As of

Premium/Discount

 

 

 
Days at premium
Days at NAV
Days at discount

The Premium/Discount shows the difference between the daily market price and the net asset value ("NAV").