The fund aims to track the returns of the FTSE Emerging ESG Low Carbon Select Index by investing in companies from emerging market countries that meet specific sustainability criteria. The Index focuses on reducing carbon emissions and fossil fuel exposure while improving ESG ratings.
Fund Exposure
The fund is exposed to a diversified portfolio of companies from various sectors, with a significant allocation to the Technology sector. Geographically, the fund has exposure to countries such as Mainland China, India, and Taiwan. The fund follows a passive investment approach and aims to mirror the composition of the Index.
Risks
Investing in the fund carries risks, including the potential for fluctuations in the unit value, market volatility, and currency risks associated with investing in Emerging Markets. Additionally, the fund may be exposed to risks related to changes in government policies, economic conditions, and other external factors that can impact the value of securities held in the portfolio.