Key features
The Series' managers deep expertise in the commodity markets helps to understand the business, its competing advantage, and the associated risk-reward dynamics.
The Series focuses on long-term fundamentals and investment in secular change. It seeks to take advantage of global opportunities and manage risk through diversification.
The Series looks across energy sectors to find those best positioned in each market environment including the current framework of the energy transition.
Daily pricing
as of
12/02/2024
NAV 1-day net change
-0.05
Total net assets
as of
10/31/2024
All share classes
$73.7 million
Overview
Series identifiers |
CUSIP |
46600H638 |
Benchmark
Portfolio
Market cap (median) Source: FactSet
$9.8 billion
Market cap (weighted average) Source: FactSet
$51.3 billion
Portfolio turnover (last fiscal year)
43%
International equities & depositary receipts
27.0%
Cash, cash equivalents and other assets
2.2%
Top 10 holdings
as of 10/31/2024
Holdings are as of the date indicated and subject to change.
List may exclude cash and cash equivalents. Please see the Series' complete list of holdings for more information.
Holdings based by issuer.
PERMIAN RESOURCES CORPORATION
6.22
KIMBELL ROYALTY PARTNERS LP
5.27
TOURMALINE OIL CORP (PRE-MERGER)
4.98
DIAMONDBACK ENERGY INC
4.84
VALERO ENERGY CORPORATION
4.45
MARATHON PETROLEUM CORP
4.29
Total % Portfolio in Top 10 holdings - 55.89%
Sector allocation
as of 10/31/2024
List may exclude cash, cash equivalents, and exchange-traded funds (ETFs) that are used for cash management purposes. Please see the Series’ complete list of holdings for more information.
Oil & Gas Exploration & Production
48.9%
Integrated Oil & Gas
15.5%
Oil & Gas Equipment & Services
9.7%
Oil & Gas Refining & Marketing
8.7%
Oil & Gas Storage & Transportation
5.8%
Electrical Components & Equipment
2.6%
Coal & Consumable Fuels
1.2%
Asset Management & Custody Banks
1.1%
Agricultural Products
0.5%
Heavy Electrical Equipment
0.5%
Renewable Electricity
0.4%
Management
Sam Halpert
-
Managing Director, Head of Global Natural Resources Equity
-
Start date on the Fund:
November 2021
-
Years of industry experience:
31
-
Read bio
Sam Halpert
Managing Director, Head of Global Natural Resources Equity
- Joined Macquarie in 2018
- Based in Philadelphia
Sam is Head of Global Natural Resources Equity at Macquarie Asset Management (MAM), a role he assumed in July 2018.
Prior to joining Macquarie, he worked at Van Eck as a Co-Portfolio Manager and Senior Analyst, specializing in agriculture, coal, paper and forest products, refining, shipping, and steel investments. Before that, he managed a global real estate fund at Van Eck and earlier worked at Goldman Sachs and Refco.
He earned a Bachelor of Arts in English and American literature from Harvard College.
Geoffrey King
-
Senior Vice President, Portfolio Manager — Global Natural Resources Equity
-
Start date on the Fund:
November 2021
-
Years of industry experience:
21
-
Read bio
Geoffrey King
Senior Vice President, Portfolio Manager – Global Natural Resources Equity
- Joined Macquarie in 2018
- Based in Philadelphia
Geoff is a Portfolio Manager on the Global Natural Resources Equity Team at Macquarie Asset Management (MAM), a role he assumed in July 2018. He oversees all aspects of the investment process, including market and security analysis, portfolio construction, and risk.
Prior to joining Macquarie, he worked at Abraxas Petroleum where he was Vice President and Chief Financial Officer for approximately six years, responsible for strategy, business development, financial planning, analysis, and hedging. Before that, Geoff was a Senior Energy Analyst at Van Eck, focused on natural resource commodities and equities.
Geoff has a Bachelor of Arts in both economics and history from Davidson College, and he holds the Chartered Financial Analyst® designation.
Fees
The following table describes the fees and expenses that you may pay if you buy, hold,
and sell shares of the Series. The fee table does not reflect any fees or sales charges
imposed by variable insurance contracts. If it did, the expenses would be higher.
Annual portfolio operating expenses |
Management fees |
0.85% |
Distribution and service (12b-1) fees |
none |
Other expenses |
0.20% |
Total annual series operating expenses |
1.05% |
Fee waivers and expense reimbursements1 |
(0.13%) |
Total annual series operating expenses after fee waivers and expense reimbursements |
0.92% |
Please see the prospectus and SAI for additional information.
1Net expense ratio reflects a contractual waiver of certain fees and/or expense
reimbursements from May 1, 2024 through April 30, 2025. Please see the fee table in the Series'
prospectus for more information.
Resources
Shareholder report – Annual
Shareholder report – Semi-annual