The fund aims to provide diversified exposure to large and mid-cap equities from developed countries that exhibit higher ESG characteristics and lower carbon exposure compared to their peers.
Fund Exposure
The fund is exposed to direct investment in EMU equities, focusing on large and mid-cap companies from developed markets in the EMU. It follows an ESG screened methodology and excludes securities associated with controversial weapons, certain revenue sources, and entities with low ESG ratings.
Risks
Investors should be aware that the value of their investment may fluctuate depending on market and economic conditions, sector performance, and geopolitical events. There is a risk of total loss of capital, and the fund is exposed to market movements in a single country or region that may be impacted by political, economic, or natural events.