Aristotle International Equity Fund’s Q3 2025 Investor Letter

Aristotle Capital Management, LLC, an investment management company, released its “International Equity Strategy” third quarter 2025 investor letter. Global equity markets continued their upward journey in the third quarter, with the MSCI ACWI Index surging 7.62%. Global fixed income markets also increased during the same period, with the Bloomberg Global Aggregate Bond Index rising 0.60%. The Aristotle International Equity Fund (Class I-2) returned 1.15% in the quarter compared to a 6.89% return for the MSCI ACWI ex USA Index and a 4.77% return for the MSCI EAFE Index. In addition, you can check the fund’s top 5 holdings to determine its best picks for 2025.

A copy of Aristotle International Equity Fund’s Q3 2025 investor letter can be downloaded here.