LU0995405320
Emerging Markets Growth Fund
Why Consider This Fund?
Approach
- Invests in a broad emerging markets portfolio of approximately 120 to 175 stocks diversified across market cap, region, industry, and corporate lifecycle
- Managed by a seasoned team with decades of emerging markets experience
- Focuses on companies of all sizes which the investment manager believes to have above-average growth, profitability, and quality characteristics
- The Fund is classified as a financial product under Article 8 of the EU Sustainable Finance Disclosure Regulation. The Fund promotes environmental or social characteristics but does not have a sustainable investment objective
Risk Considerations
- The value of shares and any income from them can increase or decrease and an investor may not get back the amount originally invested
- Where investments are made in currencies other than an investor’s base currency, the value of those investments will be affected (favourably or unfavourably) by movements in exchange rates
- Equity securities may decrease in value in response to the activities of an individual company or in response to general market, business, and economic conditions
- Emerging markets investments typically involve special risk considerations, including higher volatility, lower liquidity, economic and political risk


