| NASDAQ Exchange | US Country |
The fund is an investment vehicle that primarily focuses on acquiring equity securities of non-U.S. based companies. Its investment strategy does not prioritize market capitalization of the companies in its portfolio. Instead, the fund emphasizes the revenue generation capabilities of these companies, seeking to identify those with significant growth potential. The investment approach aims to create a diversified portfolio, typically comprising 40 to 70 different securities, managed based on the conviction of the fund's Advisor in their growth prospects.
This refers to the primary investment focus of the fund, targeting shares or stock in companies that are based outside of the United States. The opportunity to invest in these securities allows investors to gain exposure to the growth potential and revenue generation of international markets.
The fund primarily invests in common stocks, which are a type of equity security representing ownership in a company. This form of investment typically gives shareholders the right to vote at shareholder meetings and to receive dividends. Common stocks are chosen for their potential to appreciate in value, thus offering investors a share in the company's growth over time.
In its strategy, the fund maintains a diversified portfolio containing between 40 to 70 different securities. This diversification is intended to reduce risk by spreading investments across various companies and industries. Each security is selected based on the Advisor’s belief in its growth potential, regardless of the company's market capitalization.