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WCM Focused International Growth Instl (WCMIX) Fund Overview

Educational signal · not a buy or sell recommendation · How to read this

$27.60 +$0.11 (+0.40%)

Beta 1.04: the stock has moved about 4% more than the S&P 500.

Data from FMP · Methodology

For informational purposes only. Not financial advice. Machine-generated analysis by Stock Expert AI — model gemini-2.5-flash, generated Jun 15, 2026. Editorial oversight is systemic, not page-by-page. Editorially accountable: Sedat ANAK, Founder and Editor-in-Chief. Data sources: Financial Modeling Prep, Yahoo Finance, SEC EDGAR

Quick Answer

WCM Focused International Growth Instl (WCMIX) trades at $27.60. Sector: Financials.

Price as of · Last analyzed: Jun 15, 2026
WCM Focused International Growth Instl (WCMIX) is a mutual fund primarily investing in international equities, committing at least 75% of its net assets to common stocks and depositary receipts from non-U.S. companies. Its strategy emphasizes diversification across various geographic regions and at least three different countries, targeting long-term capital appreciation.

Analyst Coverage for WCMIX: WCMIX does not currently have published analyst price targets in our coverage universe. This is common for smaller-cap names with limited Wall Street coverage.

▶ Watch the WCMIX film Every key number, told as a short cinematic story — just press play. ~2 min

WCM Focused International Growth Instl (WCMIX) Financial Services Profile

CEORyan O'Connor
HeadquartersMilwaukee, US
IPO Year2011

WCM Focused International Growth Instl (WCMIX) is an institutional mutual fund specializing in international equities, allocating over 75% of its net assets to non-U.S. common stocks and depositary receipts. The fund diversifies across developed, emerging, and frontier markets, aiming for long-term capital appreciation through a focused growth strategy.

Data Provenance | Financial Data Quantitative Analysis Analysis: Jun 15, 2026

What Is the Investment Thesis for WCMIX?

AI-written as of Jun 15, 2026 — figures and tone reflect the data available then, not today's score.

The investment thesis for WCM Focused International Growth Instl (WCMIX) centers on its disciplined approach to capturing long-term capital appreciation from global equities. With a substantial market capitalization of $21.90 billion, the fund demonstrates significant scale in the asset management industry. Its core strategy mandates a minimum 75% allocation to international equity investments, predominantly common stocks and depositary receipts from non-U.S. companies. This focused mandate allows WCMIX to specialize in identifying and investing in businesses with above-average growth potential across diverse global economies, including developed, emerging, and frontier markets. Key value drivers include the fund's commitment to broad geographic and country diversification, spreading investments across various regions and at least three countries, which aims to mitigate idiosyncratic risks and enhance portfolio stability. Growth catalysts are primarily linked to sustained global economic expansion, particularly in dynamic emerging markets, and the potential for active management to generate alpha by selecting high-quality international businesses. However, the fund's Beta of 1.04 indicates a slightly higher sensitivity to market movements than the broader market. Potential risks include the inherent volatility of international markets, adverse currency fluctuations impacting U.S. dollar-denominated returns, and geopolitical events that could disrupt global trade and economic stability. Investors considering WCMIX should evaluate its performance against its benchmark and its ability to navigate these global complexities.

Based on FMP financials and quantitative analysis

WCMIX Key Highlights

AI-written as of Jun 15, 2026 — figures and tone reflect the data available then, not today's score.

Market Capitalization: $21.90 billion, indicating significant assets under management within the institutional investment landscape.

  • Investment Mandate: Commits a minimum of 75% of its net assets to international equity investments, focusing on non-U.S. companies.
  • Diversification Strategy: Spreads investments across various geographic regions and at least three different countries to mitigate concentration risk.
  • Target Markets: Invests in a broad range of global economies, including both well-established developed nations and dynamic emerging and frontier market countries.
  • Beta: 1.04, suggesting the fund's volatility is slightly higher than the overall market, reflecting its exposure to international equities.

Who Are WCMIX's Competitors?

WCMIX is benchmarked below against 8 industry peers on price, market cap, and our AI MoonshotScore.

Company Price Change Market Cap MoonshotScore
BLK BlackRock, Inc. $1059.63 -0.44% $164B 51 5-pillar
BX Blackstone Inc. $111.74 -0.45% $135B 68 5-pillar
APOS Apollo Global Management, Inc. $25.59 -0.23% $74.8B 56 5-pillar
BAM Brookfield Asset Management $44.85 +0.65% $71.6B 57 5-pillar
AMP Ameriprise Financial, Inc. $490.91 -0.79% $44.1B 77 5-pillar
ARES Ares Management Corporation $117.55 +0.84% $38.6B 57 5-pillar
TROW T. Rowe Price Group, Inc. $104.62 -1.14% $22.4B 80 5-pillar
ATHS Athene Holding Ltd. $23.51 -0.63% $18.8B 56 5-pillar

AI Score by Stock Expert AI · Price data: FMP / Yahoo Finance

What Are WCMIX's Key Strengths?

Focused investment style targeting international equities with above-average growth potential.

  • Mandatory diversification across various geographic regions and at least three countries, reducing concentration risk.
  • Access to a broad range of global economies, including both developed and dynamic emerging/frontier markets.
  • Significant market capitalization ($21.90B) indicating substantial assets under management.

What Are WCMIX's Weaknesses?

Inherent volatility associated with international markets, potentially leading to significant NAV fluctuations.

  • Exposure to adverse currency fluctuations, which can erode returns for U.S. investors.
  • Dependence on the expertise and performance of the specific investment management team.
  • Lack of dividend yield, which may not appeal to income-focused investors.

What Are the Key Risks for WCMIX?

Inherent volatility of international equity markets, which can lead to significant fluctuations in net asset value and potentially impact investor confidence.

  • Adverse currency fluctuations, potentially eroding returns for U.S. investors even if underlying international assets perform well in local currency terms.
  • Geopolitical instability or trade tensions impacting specific regions or countries where the fund has significant exposure, leading to market uncertainty and asset depreciation.
  • Underperformance relative to its benchmark or peer international growth funds, which could result in investor outflows and pressure on management fees.
  • Regulatory changes in international markets that could impact investment opportunities, operational costs, or the fund's ability to execute its strategy effectively.

What Threats Does WCMIX Face?

  • Geopolitical instability, trade tensions, or regulatory changes impacting global markets and specific holdings.
  • Global economic downturns or recessions affecting corporate earnings in international markets.
  • Increased competition from lower-cost passive international equity funds.
  • Sustained periods of U.S. dollar strength, negatively impacting returns from foreign currency-denominated assets.

What Are WCMIX's Competitive Advantages?

  • Specialized investment expertise in identifying and managing international growth equities across diverse global markets.
  • Established investment process and research capabilities for evaluating non-U.S. companies and economic trends.
  • Scale of assets under management ($21.90B), potentially offering access to a broader range of investment opportunities.
  • Brand reputation within the institutional investment community for its focused international growth strategy.

What Does WCMIX Do?

The WCM Focused International Growth Instl fund (WCMIX) operates within the global asset management sector, specializing in actively managed international equity investments for institutional clients. Established with a clear mandate to seek long-term capital appreciation, the fund strategically commits a minimum of 75% of its net assets to a diversified portfolio of non-U.S. companies. These investments primarily take the form of common stocks and depositary receipts, reflecting a direct ownership stake or a mechanism for trading foreign shares on domestic exchanges. The fund's investment philosophy is rooted in identifying companies with above-average growth potential, a characteristic it seeks across a wide spectrum of global economies. WCMIX's geographic scope is intentionally broad, encompassing both highly developed nations with mature markets and dynamic emerging and frontier market countries that offer distinct growth trajectories. This expansive approach allows the fund to capture diverse economic opportunities and mitigate concentration risk associated with single-country or single-region exposure. A core tenet of its strategy is robust diversification, ensuring that investments are spread across various geographic regions and, critically, in at least three different countries. This multi-country, multi-region approach is designed to enhance portfolio resilience and tap into varied economic cycles and industry trends worldwide. While specific founding details are not provided, the fund's operational evolution has centered on refining its active management capabilities to navigate the complexities of international markets. Its market position is defined by its presence within the highly competitive landscape of international growth funds, where it differentiates itself through its focused investment style and commitment to fundamental research. The fund aims to deliver value by identifying high-quality international businesses that possess sustainable competitive advantages and are poised for long-term growth, thereby offering institutional investors a specialized avenue for global equity exposure. The emphasis on both developed and developing markets underscores a comprehensive strategy to harness global economic expansion while managing inherent international market volatilities.

What Products and Services Does WCMIX Offer?

  • Manages an institutional mutual fund focused on international equity investments.
  • Invests a minimum of 75% of its net assets in common stocks and depositary receipts.
  • Targets companies based outside the United States across various global economies.
  • Diversifies its portfolio across both well-established developed nations and dynamic emerging and frontier market countries.
  • Spreads investments across various geographic regions and in at least three different countries.
  • Aims for long-term capital appreciation by identifying companies with above-average growth potential.
  • Operates within the competitive landscape of international growth funds.

How Does WCMIX Make Money?

  • Generates revenue primarily through management fees charged on its assets under management (AUM).
  • Employs an active investment strategy, relying on its investment team's expertise to select international equities.
  • Seeks to deliver capital appreciation to its institutional investors through focused stock selection.
  • Attracts and retains capital by demonstrating competitive investment performance relative to its benchmarks and peers.

What Industry Does WCMIX Operate In?

WCM Focused International Growth Instl operates within the highly competitive and dynamic asset management industry, specifically targeting the international equity fund segment. This sector is characterized by increasing investor demand for global diversification, driven by the desire to access growth opportunities outside domestic markets and mitigate home-country bias. Key market trends include the continued expansion of emerging and frontier economies, offering higher growth potential but also increased volatility, and the ongoing debate between active and passive investment strategies. WCMIX positions itself as an actively managed fund, aiming to outperform benchmarks through rigorous stock selection and a focused growth strategy. The competitive landscape includes a multitude of international equity funds offered by major financial institutions, ranging from broad-market index funds to specialized thematic or regional funds. WCMIX differentiates itself through its explicit mandate for significant international exposure and diversified geographic spread, seeking to capitalize on global economic cycles and company-specific growth stories.

Who Are WCMIX's Key Customers?

  • Institutional investors such as pension funds, endowments, and foundations.
  • Investment advisors and wealth managers seeking international equity exposure for their clients.
  • High-net-worth individuals accessing the fund through institutional platforms or financial intermediaries.
Model self-rating on this text: 66% (not a measure of the evidence) Updated: Jun 15, 2026

Research confidence

Low

Thin evidence — scoring coverage unknown. Treat this as a starting point, not a conclusion.

  • ● Scoring coverage unknown
  • ● Price is current
  • ● No filing on record
  • ● No analyst coverage
  • ● This is a fund, not an operating company

MoonshotScore History

Recorded daily since 2026-08-23 · 41 snapshots

2026-08-23 44
2026-08-31 44
2026-09-08 44
2026-09-16 44
2026-09-24 44
2026-10-04 44

What changed?

The score has stayed at 44.

Over the same 30 days the stock moved -2.3%.

WCMIX Financials

Bull Case vs Bear Case

Bull Case

  • Focused investment style targeting international equities with above-average growth potential.
  • Mandatory diversification across various geographic regions and at least three countries, reducing concentration risk.
  • Access to a broad range of global economies, including both developed and dynamic emerging/frontier markets.
  • Significant market capitalization ($21.90B) indicating substantial assets under management.

Bear Case

  • Inherent volatility associated with international markets, potentially leading to significant NAV fluctuations.
  • Exposure to adverse currency fluctuations, which can erode returns for U.S. investors.
  • Dependence on the expertise and performance of the specific investment management team.
  • Lack of dividend yield, which may not appeal to income-focused investors.

AI-generated arguments based on insider flow, news sentiment and technicals — not financial advice · June 2026

WCMIX Latest News

No recent news available for WCMIX.

WCMIX Analyst Consensus

Consensus Rating

Aggregated Buy/Hold/Sell recommendations collected by Financial Modeling Prep for WCMIX.

Price Targets

Wall Street price target analysis for WCMIX.

WCMIX MoonshotScore

MoonshotScore is Stock Expert AI's proprietary 0-100 research rating, not a buy or sell recommendation. No MoonshotScore is published for WCMIX; grades run from A+ (80-100) to F (below 30).

Leadership: Ryan O'Connor

Unknown

Therefore, a detailed biographical sketch outlining his professional journey and credentials within the financial services or asset management industry cannot be furnished at this time. His professional trajectory leading up to his current role at WCM Focused International Growth Instl is not disclosed.

Track Record: Key achievements, strategic decisions, and significant company milestones directly attributable to Ryan O'Connor's leadership are not detailed in the provided source material. Consequently, a specific track record outlining his impact on WCM Focused International Growth Instl's performance, strategic direction, or asset growth cannot be accurately presented.

Common Questions About WCMIX (Financials)

What are the primary risks associated with investing in WCMIX?

Investing in WCMIX carries several primary risks inherent to its international equity focus. A significant ongoing risk is the inherent volatility associated with international markets, which can lead to substantial fluctuations in the fund's net asset value.

Disclaimer: This content is for informational purposes only and does not constitute investment advice. Always do your own research and consult a financial advisor.

Official Resources

Price as of Analysis updated

MoonshotScore is not published for this security.

Data Sources & Methodology
Figures come from Financial Modeling Prep (FMP). If FMP has no figure for a ticker, a price or fundamental may come from a Yahoo Finance fallback, or a price from an Alpaca fallback. SEC EDGAR is used only for filing links and company identity details (legal name, address), never for figures. AI analysis by Stock Expert AI proprietary algorithms. Technical indicators via industry-standard calculations. Last updated: .
Data Provenance
Sources: Financial Modeling Prep (FMP) — Primary · Yahoo Finance — Fallback · Alpaca — Tertiary
Last fetched:
Cache TTL: Quote 5min · Profile 7d · Financials 7d · Insider 48h
How we use AI: Numbers are pulled directly from FMP & Yahoo Finance — our AI writes the analysis, it never edits the figures.
Data provided as-is for educational purposes. Not financial advice. Methodology

Data provided for informational purposes only.

Analysis Notes
  • CEO title, background, and track record are not provided in the source data.
  • Specific details on currency risk management strategies are not available in the provided source data.
Data Sources
Financial Modeling Prep (FMP)Stock Expert AI proprietary analysis