Capital at risk

Investment strategy

Responsible Global Equity Income

Long-term dividend compounding is the eighth wonder of the world.  

We focus on companies that can compound earnings and dividends effectively over long periods. These are rare but can deliver attractive returns.  

Cyclist riding up on road in the mountains.

Investing for a lifetime of income

Whether you require an income for years to come or are simply looking for attractive long-term capital appreciation, dividend growth investing could be what you’re looking for.

Responsible Global Equity Income Stewardship Report

Find out about our conversations with portfolio companies, shareholder vote activity and consideration of environmental, social and governance matters.

Responsible and dependable growth

We aim to deliver a dependable income and real growth in capital over the longterm by investing in responsible companies.  

We believe the best way to do this is to invest in firms which can pay dependable dividends across the cycle, with the prospect of real profit growth, which will in turn lead to growth in dividends and capital.  

These are rare and highly attractive to clients seeking income today and well into the future. 

What do we mean by responsible? Beyond the exclusion of sin sectors, we mean investing in companies that are trying to address environmental, social and governance (ESG) issues and future-proofing their business.

A carefully selected portfolio

Our portfolio is a collection of carefully selected dividend-paying companies with attractive growth prospects. 

Their sustainable earnings growth have the potential to support real growth in dividends, and they typically have resilient business models  

Our strategy is managed with a growth mindset and a lengthy time horizon, focusing on dividend growth, not short-term yield. 

Long-term dividend compounders are the unsung heroes of the market
James Dow

Meet the managers

Documents

Philosophy and process

Explore our investment philosophy and the processes around how the team constructs the portfolio.

Stewardship report

Find out about our conversations with portfolio companies, shareholder vote activity and consideration of environmental, social and governance matters.

Invest in this strategy

You can invest in this strategy through the following fund(s).

Explore further

Curious to learn more about our products and what we can offer you? Please get in touch.

Strategy portfolio holdings

A list of the top 10 holdings that the representative portfolio invests in.

All figures up to: 30 September 2024

#Holding% of portfolio
1Microsoft4.8%
2Novo Nordisk4.1%
3Fastenal4.1%
4TSMC4.1%
5Watsco3.6%
6Procter & Gamble3.6%
7Apple3.6%
8Atlas Copco3.2%
9Schneider Electric3.2%
10Partners3.1%

Strategy holdings by region

As at: 30 September 2024

1North America41.00%
2Europe (ex UK)33.90%
3Emerging Markets10.00%
4Developed Asia Pacific9.50%
5UK5.80%
6Cash-0.20%
Total 100%

Strategy holdings by region

All figures up to: 30 September 2024

Total: 100%

Please note

The information contained on this page is intended as a guide only and should not be relied upon when making investment decisions. All holdings information is unaudited. Source Baillie Gifford & Co. Please note that totals may not add due to rounding.

Invest in this strategy

You can invest in this strategy through the following fund(s).

Explore further

Curious to learn more about our products and what we can offer you? Please get in touch.

Insights

Key articles, videos and podcasts relating to the strategy:

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Insights

Viewing 16 of 16
  1. Global Income Growth Q3 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    October 2024
    Video10 minutes
  2. Eric Beinhocker: evolutionary economist

    How successful companies harness the power of adaptation.
    September 2024
    Article7 minutes
  3. Global Income Growth Q2 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    July 2024
    Video9 minutes
  4. Global Income Growth Q1 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    April 2024
    Video10 minutes
  5. Novo Nordisk: tipping the scales

    Charting how a century of innovation led to a game-changing weight-loss treatment.
    March 2024
    Article4 minutes
  6. Five years of Responsible Global Equity Income

    Investment specialists reflect on the first five years of the Responsible Global Equity Income Strategy.
    March 2024
    Video39 minutes
  7. How dividend growth signals compounding

    Investor James Dow explains why dividend growth indicates a company can compound its earnings.
    February 2024
    Article5 minutes
  8. A new recipe for weight loss

    The huge growth potential of Novo Nordisk’s anti-obesity medicines.
    February 2024
    Podcast27 minutes
  9. Albemarle: salt flats and social responsibility

    Why the lithium giant Albemarle engages in research and data monitoring.
    February 2024
    Article4 minutes
  10. Global Income Growth Q4 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    January 2024
    Video14 minutes
  11. Why growth, why now?

    Tough times play to the partnership’s strengths: analysing what enables us to adapt and thrive amid rapid change.
    December 2023
    Article17 minutes
  12. A net zero initiative update

    A reflection on Baillie Gifford’s commitment to the climate transition.
    November 2023
    Article
  13. Global Income Growth Q3 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    October 2023
    Video11 minutes
  14. TSMC’s decarbonisation dilemmas

    TSMC’s progress in securing greener energy supplies in Taiwan.
    July 2023
    Article
  15. Responsible Global Equity Income strategy update

    Portfolio managers James Dow and Ross Mathison discuss current views and portfolio positioning against the backdrop of rising interest rates and market volatility.
    July 2023
    Video48 minutes
  16. Global Income Growth Q2 update

    The Global Income Growth team reflects on recent performance, portfolio changes, and market developments.
    July 2023
    Video11 minutes

Global Income Growth Q3 update

The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.

  1. Global Income Growth Q3 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    October 2024
    Video10 minutes
  2. Eric Beinhocker: evolutionary economist

    How successful companies harness the power of adaptation.
    September 2024
    Article7 minutes
  3. Global Income Growth Q2 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    July 2024
    Video9 minutes
  4. Global Income Growth Q1 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    April 2024
    Video10 minutes
  5. Novo Nordisk: tipping the scales

    Charting how a century of innovation led to a game-changing weight-loss treatment.
    March 2024
    Article4 minutes
  6. Five years of Responsible Global Equity Income

    Investment specialists reflect on the first five years of the Responsible Global Equity Income Strategy.
    March 2024
    Video39 minutes
  7. How dividend growth signals compounding

    Investor James Dow explains why dividend growth indicates a company can compound its earnings.
    February 2024
    Article5 minutes
  8. A new recipe for weight loss

    The huge growth potential of Novo Nordisk’s anti-obesity medicines.
    February 2024
    Podcast27 minutes
  9. Albemarle: salt flats and social responsibility

    Why the lithium giant Albemarle engages in research and data monitoring.
    February 2024
    Article4 minutes
  10. Global Income Growth Q4 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    January 2024
    Video14 minutes
  11. Why growth, why now?

    Tough times play to the partnership’s strengths: analysing what enables us to adapt and thrive amid rapid change.
    December 2023
    Article17 minutes
  12. A net zero initiative update

    A reflection on Baillie Gifford’s commitment to the climate transition.
    November 2023
    Article
  13. Global Income Growth Q3 update

    The Global Income Growth Team reflects on recent performance, portfolio changes and market developments.
    October 2023
    Video11 minutes
  14. TSMC’s decarbonisation dilemmas

    TSMC’s progress in securing greener energy supplies in Taiwan.
    July 2023
    Article
  15. Responsible Global Equity Income strategy update

    Portfolio managers James Dow and Ross Mathison discuss current views and portfolio positioning against the backdrop of rising interest rates and market volatility.
    July 2023
    Video48 minutes
  16. Global Income Growth Q2 update

    The Global Income Growth team reflects on recent performance, portfolio changes, and market developments.
    July 2023
    Video11 minutes

Invest in this strategy

You can invest in this strategy through the following fund(s).

Explore further

Curious to learn more about our products and what we can offer you? Please get in touch.

How to invest in this strategy

You can invest in this strategy through the following fund(s).

Explore further

Curious to learn more about our products and what we can offer you? Please get in touch.

Important information

The content of this website is intended exclusively for professional investors in accordance with MiFID legislation. ’Professional investors’ are potential investors who are deemed to have the status of “professional clients”, within the meaning of MiFID (2004/39/EC), as transposed in Ireland. It is not intended for retail investors.

Baillie Gifford Investment Management (Europe) Limited is authorised and regulated by the Central Bank of Ireland (Reference number C182354) as an Alternative Investment Fund Manager and UCITS Manager to Baillie Gifford Worldwide Funds plc. Its registered office is 4/5 School House Lane East, Dublin 2, D02 N279, Ireland.

This website is informative only and the information provided should not be considered as investment or other advice or a recommendation to buy, sell or hold a particular investment. Read our Legal and regulatory information for further details.