Jupiter European Fund Class Z Acc
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General Objective
The fund aims to provide a return higher than that of the FTSE World Europe ex-UK Index over the long term, with a minimum investment horizon of at least five years.
Fund Exposure
At least 70% of the Fund is invested in shares of companies based in Europe (excluding the UK), with the remaining 30% allocated to other transferable securities, open-ended funds, cash, near cash, money market instruments, and deposits. The fund manager seeks world-class companies in Europe with unique products or services and strong growth prospects.
Risks
Investors should be aware that this fund is actively managed, meaning the fund manager has the flexibility to make investment decisions without being constrained by the benchmark. Additionally, the fund may use derivatives to reduce costs and risks. This fund may not be suitable for investors looking to withdraw their capital within a short timeframe.