Baillie Gifford Worldwide Pan-European Fund Class B GBP Acc

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Legal StructureOpen Ended Investment Company
Inception Date03/04/2018
Fund Advisor(s)
Baillie Gifford Investment Management (Europe) Limited
Fund ManagerStephen Paice
Manager Start Date31/10/2014
2005, Glasgow Caledonian University, B.S.
Stephen graduated BSc in Financial Mathematics from Glasgow Caledonian University in 2005. He joined Baillie Gifford in the same year and trained as an Investment Manager in the US, UK Smaller Companies and Japanese equity teams before joining the European Equity Team. Stephen is a member of the Global Select Portfolio Construction Group and the Head of The European Equities Team.
Fund ManagerMoritz Sitte
Manager Start Date30/09/2020
Career Start Year2010
2009, University of Regensburg, B.S.
2010, University of Edinburgh, M.S.
Moritz Sitte, CFA, Portfolio Manager, joined Baillie Gifford Overseas Limited in 2010 and is an Investment Manager in the European Equity Team. Mr. Sitte joined the International Focus Portfolio Construction Group in 2014. Moritz graduated BSc in Business Administration from the University of Regensburg (Germany) in 2009 where he took part in the Honours Elite Degree Programme. He then went on to complete an MSc in Finance and Investment from the University of Edinburgh in 2010.
Fund ManagerJosie Bentley
Manager Start Date31/12/2020
Fund ManagerChris Davies
Manager Start Date30/09/2020
Mr. Davies joined Baillie Gifford in 2012, starting investment life on the European Equities Team before moving to Fixed Income and then the strategy International Alpha. He now works in the Global Alpha Team as an Investment Manager assisting the three decision makers. Mr. Davies grew up in Merthyr Tydfil in South Wales, and became besotted with music at an early age. His interest led him to take up the horn, which fuelled a lifelong passion for the performing arts and took him to Oxford’s Oriel College where he gained a first-class degree in music in 2009.
In order to provide consistency across the report data provided by different Asset Managers, the calculated data points presented are generated using Morningstar’s proprietary calculation methodology which is set out in more detail at(