| Capital Markets Industry | Financials Sector | - CEO | CXA Exchange | US97717W5967 ISIN |
| US Country | - Employees | 22 Dec 2023 Last Dividend | 10 Nov 2017 Last Split | - IPO Date |
The investment strategy outlined represents a dedicated focus on capital appreciation through a meticulously managed fund that leverages a model-based approach. Primarily anchored in investing within the U.S. equity market, the fund distinguishes itself by prioritizing investments in securities that not only promise potential positive future returns but also align with stringent environmental, social, and governance (ESG) criteria. This unique blend of financial rigor and ethical commitment is propelled by proprietary analytical models developed by the fund’s advisory team, aimed at pinpointing equities poised for significant gains. While the fund operates on a non-diversified basis, its strategic concentration is designed to maximize returns for investors who value both financial performance and ESG principles.
At the core of its offerings, the fund focuses on investments in U.S. equity securities selected through a rigorous process that evaluates potential for future returns. This involves a comprehensive analysis of various fundamental factors believed by the fund’s adviser to be indicative of stocks that will outperform the market. The aim is not just growth but sustainable growth aligned with sound financial practices.
Embedded in its investment strategy, the fund incorporates ESG characteristics as a critical component of its selection process. By leveraging a model developed specifically by the adviser, the fund opts for companies that demonstrate favorable environmental, social, and governance practices. This approach caters to investors who are increasingly conscious of the impact of their investments on the world, offering them a platform through which they can contribute to positive change while targeting financial returns.