The fund aims to track the price and income performance of the S&P Developed ESG Elite Dividend Aristocrats Total Return Net Index.
Fund Exposure
The fund primarily invests in equities included in the S&P Developed ESG Elite Dividend Aristocrats Index, with sector exposure including real estate, financial services, industrials, communication services, and more. The fund is passively managed and provides market exposure to countries such as the United States, Japan, Canada, and Switzerland.
Risks
Investors should be aware that this fund primarily invests in equities and may not be suitable for those planning to withdraw their investment before the recommended holding period. All investments are subject to market fluctuations, and the fund's assets are passively managed, meaning losses that could be avoided through active management will not be offset.