| Real Estate Management & Development Industry | Real Estate Sector | Marcel Kucher CEO | SIX Exchange | H8403W107 CUSIP |
| CH Country | 512 Employees | 27 Mar 2026 Last Dividend | 18 Sep 2018 Last Split | - IPO Date |
The investment fund seeks to offer a strategic investment solution by attempting to replicate the performance of the QS Emerging Markets Low Volatility High Dividend Hedged Index. It aims to invest primarily in a diversified portfolio of profitable companies located in emerging markets. These companies are characterized by their relatively high dividend yields or anticipated dividend yields and low price and earnings volatility. A significant feature of this fund is its strategy to hedge against the risks associated with currency fluctuations, thereby minimizing the impact of exchange-rate volatility on the investment returns. The fund commits to invest at least 80% of its net assets, along with any borrowings designated for investment purposes, in securities that constitute the underlying index.
This service focuses on tracking the investment results of the QS Emerging Markets Low Volatility High Dividend Hedged Index. It is designed for investors seeking exposure to emerging market equities that offer potential for stable income through high dividend yields and lower volatility. The aim is to replicate the performance of the index as closely as possible, offering investors a strategic route to participate in emerging market investments.
Understanding the impact of currency fluctuations on international investments, this product offers a hedging mechanism to shield investors from exchange-rate volatility. This is especially significant for investments in emerging markets, where currency risk can significantly affect returns. By mitigating exposure to currency risk, the fund seeks to provide more stable and predictable investment outcomes in USD terms.
The fund's investment strategy centers around allocating assets to profitable companies in emerging markets that display relatively high dividend yields or have the potential for high dividend yields. Additionally, these companies exhibit lower price and earnings volatility, aligning with the fund's objective to offer stable income and reduce investment risks. This approach provides investors an opportunity to earn income while participating in the growth potential of emerging markets.