The fund aims to replicate the price and return performance of the MSCI ACWI ESG Universal Low Carbon Select 5% Issuer Capped Index Net USD index, while investing in large and mid-cap securities across developed and emerging markets.
Fund Exposure
The fund is passively managed and primarily invests in the Information Technology, Financials, and Health Care sectors, with exposure to various other sectors as well. It provides clients with access to a diversified range of countries and sectors, offering an optimised risk/return profile.
Risks
Investing in equities, the fund is subject to high fluctuations in value and may not be suitable for investors looking to withdraw their money before the recommended holding period. Market fluctuations and specific risks associated with the fund can increase under unusual market conditions, as the net asset value is directly tied to the performance of the underlying index.