| XMIL Exchange | IE Country |
The investment strategy is designed to provide investors with exposure to European developed market equities, focusing on those that exhibit lower volatility characteristics compared to the broader large- and mid-cap market. By aiming to track the MSCI Europe Minimum Volatility (USD) Index, the fund selects investments that are anticipated to offer more stable performance, thus potentially reducing risk for investors. This approach involves investing at least 90% of its assets in securities that are part of the underlying index or possess similar economic characteristics.
This product offers investors the opportunity to invest in a portfolio that closely follows the MSCI Europe Minimum Volatility (USD) Index. The fund allocates at least 90% of its assets to securities included in the Index or to investments that are substantially identical economically. The Index is composed of European developed market equity securities characterized by lower volatility, aiming to offer investors a more stable investment option relative to the broader European equity market.