Money Market Mutual Funds

Investment Objective

LOM manages three Money Market Funds.  These Funds are denominated and invest in US Dollars securities, Canadian Dollar securities, and Sterling pound securities.  All funds are conservatively managed and have a superior long term track record.   LOM’s money market funds provide investors with a safe place to hold easily accessible short term cash-equivalent assets.

All of the LOM Money Market Fund classes are highly liquid, very stable investments that seek to limit exposure to losses from credit market fluctuations and reduced liquidity. Management monitors macroeconomic indicators to project short-term interest rate trends. Average portfolio maturity is adjusted to be consistent with interest rate forecasts; shortened if rates are projected to trend higher and lengthened if rates are projected to fall.  Strict guidelines are followed in terms of the quality, maturity and diversity of the securities which Funds may hold. This includes only very safe, high liquidity instruments such as short term bonds, repurchase agreements, commercial paper.  LOM’s investment team are experienced and have conservatively managing the nuances of an offshore money market over the last twenty years.

Management Style (USD)

Management monitors macroeconomic indicators to project short-term interest rate trends. Average portfolio maturity is adjusted to be consistent with interest rate forecasts; shortened if rates are projected to trend higher and lengthened if rates are projected to fall.

 

Fund Performance

  • 3M
  • 6M
  • 1Y
  • 3Y
  • 5Y
  • 10Y

Top Holdings

Issuer Weighting
WSTP Float 10/20/26 2.62
MBGGR 5.2 08/03/26 2.45
RABOBK 3 3/4 07/21/26 2.26
UNH Float 07/15/26 2.25
NRUC Float 11/22/26 2.13
SUMITR Float 09/14/26 2.01
TD 5.532 07/17/26 1.98
ACAFP 5.589 07/05/26 1.94
FITB 2.55 05/05/27 1.84
JPM Float 04/22/28 1.77

Analytics 1 Year

Item
Sharpe Ratio N/A
Standard Deviation6.57%
% Periods Up
% Periods Down
Downside Risk

Monthy Allocation

Considerations

Past performance is not indicative of future performance; as with any investment, the value of the fund may fluctuate and is not guaranteed. Performance is stated net of fees as of prior month end. A prospectus containing terms and conditions is available from the Fund Manager.

Licensed to conduct Investment Business by the Bermuda Monetary Authority.

Management Style (CAD)

Management monitors macroeconomic indicators to project short-term interest rate trends. Average portfolio maturity is adjusted to be consistent with interest rate forecasts; shortened if rates are projected to trend higher and lengthened if rates are projected to fall.

Fund Performance

  • 3M
  • 6M
  • 1Y
  • 3Y
  • 5Y
  • 10Y

Top Holdings

Issuer Weighting
NYLIFE Float 06/30/264.9
MET Float 06/15/264.78
BNS Float 09/08/263.68
CM 1.7 07/15/263.42
TORHYD 2.52 08/25/263.4
VW 2.45 12/10/263.07
CAT 5.19 09/25/262.97
NBRNS 2.6 08/14/262.94
HYDONE Float 09/21/262.94
ONTB 0 11/04/262.9

Analytics 1 Year

Item Weighting
Sharpe Ratio N/A
Standard Deviation6.27%
% Periods Up
% Periods Down
Downside Risk

Monthy Allocation

Considerations

Past performance is not indicative of future performance; as with any investment, the value of the fund may fluctuate and is not guaranteed. Performance is stated net of fees as of prior month end. A prospectus containing terms and conditions is available from the Fund Manager.

Licensed to conduct Investment Business by the Bermuda Monetary Authority.

Management Style (GBP)

Management monitors macroeconomic indicators to project short-term interest rate trends. Average portfolio
maturity is adjusted to be consistent with interest rate forecasts and to otherwise opportunistically enhance
returns.

Fund Performance

  • 3M
  • 6M
  • 1Y
  • 3Y

Top Holdings

Issuer Weighting
OPBANK 1 3/8 09/04/26 8.33
CAT 5.72 08/17/26 6.22
UKT 1 1/2 07/22/26 5.35
HSBC 1 3/4 07/24/27 4.80
CCDJ Float 10/12/27 4.79
RY Float 10/22/26 4.79
BMO 1 09/09/26 4.74
SANTAN 1 3/4 02/17/27 4.68
ROTHLF 3 3/8 07/12/26 4.25
HTHROW 6 3/4 12/03/26 3.72

Analytics 1 Year

Item
Sharpe Ratio N/A
Standard DeviationN/A
% Periods Up
% Periods Down
Downside Risk

Monthy Allocation

Portfolio Manager
Siye Desta, CFA

Siye Desta, CFA

Quantitative Investment Strategist

LOM Asset Management Limited

PDF Data
Fund Information
Inception Date: 4/30/1998
Dealing Terms: Daily (5:00 AST)
Settlement Terms: Trade +0
Management Fee: 0.40%
Administration Costs: 0.27%
Exchange : Bermuda Stock Exchange
ID ISIN: BMG556251756
Bloomberg Ticker: LOMMMFA BH

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Asset Management Company of the Year 2020

Asset Management Company
of the Year 2020, 2021 & 2023

We are pleased to announce that Global Banking & Finance Review have awarded LOM the Asset Management Company of the Year 2020, 2021 & 2023.