Seeking diversified exposure to global developed and emerging market companies

The Fund will normally invest in equity securities of companies in developed markets and emerging markets. When investing the Fund’s assets, the Investment Manager uses a quantitative investment approach to purchase and sell investments. When selecting securities, the Investment Manager’s proprietary computer model analyzes factors relating to environmental (“E”), social (“S”), and corporate governance (“G”) scores (collectively, an “ ESG score”), valuation, sentiment (for example, earnings estimate revisions, earnings announcement returns, and sentiment analysis of earnings call transcripts using natural language processing and machine learning techniques), technical indicators (for example, risk-adjusted price momentum and network/peer momentum, each measured over various time horizons), long-term growth, quality, and corporate events.

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$0.00
Inception
30 September 2026
ISIN
IE0004EFVTH2
Benchmark
MSCI ACWI
Minimum investment
$1,000,000
Total expense ratio
0.60%
*As of 30 September 2026
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Strategy overview

Arjun Jayaraman discusses our Global Systematic Equity strategy.

Portfolio managers

Head of Quantitative Research
Quantitative Portfolio Manager
Quantitative Portfolio Manager
Quantitative Portfolio Manager
Quantitative Portfolio Manager
Portfolio Manager
Director of Sustainability Research

Documents

Fund information: