Jupiter Merian World Equity Fund U1 GBP Acc
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General Objective
The objective of the fund is to seek asset growth through investment in a well-diversified portfolio of securities of issuers worldwide, without concentrating investments in any specific geographical region, industry, or sector.
Fund Exposure
The fund is exposed to a mix of asset classes, with a significant allocation to information technology, financials, industrials, and consumer discretionary sectors. Geographically, the fund has a large exposure to the United States, followed by the United Kingdom, Japan, and the Netherlands.
Risks
Investment risk is present, with no guarantee that the fund will achieve its objective, potentially leading to a capital loss. Other risks include exposure to REITs, company shares, currency fluctuations, and derivative usage, which may impact the overall riskiness of the fund. Investors should carefully consider the stated investment policy and the potential volatility of the net asset value.