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The fund is a dynamic investment vehicle focusing on equity securities across a broad spectrum of geographical markets. It primarily targets companies located in global developed markets, aiming to leverage the stability and growth potential of these regions. Additionally, the fund sees value in diversifying its portfolio by including strategic investments in global emerging markets. This blend of developed and emerging market exposures is designed to optimize growth opportunities while managing the risk associated with global equity investments.
The fund commits a significant portion of its resources to investing in equity securities of companies based in developed markets. These markets include, but are not limited to, Australia, Canada, Israel, Japan, New Zealand, Singapore, the United Kingdom, the United States, most Western European countries, and Hong Kong. The focus on developed markets is driven by their economic stability, mature financial markets, and the potential for steady growth.
In addition to developed markets, the fund actively seeks opportunities in global emerging markets. These markets comprise countries that are on the path to development and exhibit potential for rapid economic growth. Investing in emerging markets allows the fund to diversify its investment portfolio, spread risk, and capitalize on the higher growth rates that these markets may offer compared to more developed economies.