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The Fund seeks to outperform the MSCI EM NR Index with below-average downside risk over investment periods of 3 to 5 years through a value-oriented bottom-up stock selection strategy focusing on high and stable dividend yields. The strategy is based on the recognition that dividends contribute significantly to total returns over the long haul, can provide protection during down markets and are significantly more reliable than price returns. To qualify for inclusion in the portfolio, stocks must also meet certain qualitative requirements. To ensure adequate diversification, the portfolio is controlled for country, sector and industry risk. Within industries, stocks tend to be equally weighted. The fund portfolio is regularly rebalanced, taking into account market valuation and implementation costs.
Name | Title | Since | Until |
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Not Disclosed | - | 2006 | Now |
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