| ARCA Exchange | US Country |
The fund is specifically structured to invest predominately in the equity securities of issuers located in developed markets, with the exclusion of Japan. By allocating at least 80% of its net assets, along with any funds borrowed for investment purposes, towards developed market equities (excluding Japan), the fund aims to provide investors with exposure to the performance of these markets. The investment strategy is crafted around tracking the performance of an index that mirrors the equity market trends in these developed regions, offering a focused investment opportunity in economies with established financial markets and infrastructure.
The fund invests primarily in equity securities, such as stocks, of issuers in developed markets outside of Japan. This includes a wide range of companies, from large-cap entities to smaller firms, across diverse sectors, aiming to capitalize on the growth and stability of these developed economies.
Targeting developed markets, except Japan, the fund's investment portfolio is structured to tap into the economic stability, sophisticated market infrastructure, and potential growth opportunities available in these countries. This focus helps in providing a diversified investment approach that mitigates the risks associated with emerging markets.
By aiming to track the performance of an index that reflects the equity market dynamics of the targeted developed countries (excluding Japan), the fund provides investors with a transparent and measurable investment strategy. This approach seeks to replicate the index's performance, thereby offering an investment product that aligns closely with the market trends of developed regions.