| - Industry | - Sector | - CEO | ASX Exchange | AU0000028706 ISIN |
| United States Country | - Employees | - Last Dividend | 2 Jun 2023 Last Split | - IPO Date |
This fund specializes in investing primarily in securities of issuers located in developed markets. The strategy involves allocating at least 80% of its assets towards securities and investments that are economically tied to developed markets. Developed markets are defined based on criteria such as having a developed stock market, similar to the standards set by the MSCI, and other factors that denote developed economic conditions. This approach ensures a focus on regions that are considered to have more stable and established economic environments. The fund's investment portfolio is diversified across various countries and regions, allowing for a broad exposure to different economic landscapes within the developed market sphere.
Investments are primarily focused on securities of issuers based in developed markets. This includes equities and bonds of companies operating in countries recognized for their advanced economic and regulatory environments. The selection process emphasizes stability, growth potential, and the overall quality of the investment.
Beyond traditional securities, the fund also seeks opportunities in investments that are economically linked to developed markets. This could involve derivative instruments, real estate investments in these regions, or other financial products that offer exposure to the economic activities of developed markets.
The fund diversifies its investments across multiple countries and regions within the defined scope of developed markets. This strategy is designed to spread risk and capitalize on the growth potential of various sectors and economies. It ensures a balanced portfolio that leverages the varying economic cycles and potential returns from different regions.