The fund aims to primarily invest in European equities, focusing on underpriced companies with strong cash flow and debt coverage, while also integrating ESG factors into its investment decisions. The fund's goal is to exceed the return of the MSCI Europe TR Net (EUR) return index.
Fund Exposure
The fund's investment style is active, not following the benchmark index, and does not have any sector or country restrictions within its geographical investment area. It may also invest in derivatives contracts for hedging purposes and to enhance its investment strategy.
Risks
Investors should be aware that this fund may not be suitable for those planning to withdraw their money within 7 years. Additionally, the fund's investments are subject to market fluctuations and risks associated with investing in equities and derivatives contracts. It is important for investors to carefully review the official fund prospectus for more detailed information on the risks involved.