The fund seeks to achieve a total return which exceeds the total return performance of the fund's benchmark, namely the MSCI Emerging Markets Index. The fund typically invests in equity securities of emerging market companies. The process for selecting these uses the RAFI Fundamental Index methodology as a starting point. The RAFI methodology is used to select and rank the emerging market equities by their fundamental size, based on factors such as sales, cashflows, book value and dividends. The fund provides investors with a broad, diversified equity market exposure.
- United Kingdom