Past performance is not a reliable indicator of future performance.
Source: Stefnir hf.
With a single investment, you can:
Invest in large and mid-sized companies across 24 emerging markets worldwide
Spread your risk across a wide range of companies, sectors and countries
Invest only in companies that meet ESG standards for responsible business practices
The fund tracks the MSCI EM Screened Choice Index.
The index measures the performance of large and mid-sized companies across 24 emerging markets worldwide.
By investing in the fund, you gain indirect exposure to all companies included in the index.
Emerging markets are countries with growing economies that are becoming a larger part of the global economy.
Investments in emerging markets can offer greater growth potential than investments in developed markets, but they can also experience greater price fluctuations.
Examples of emerging markets include countries in Asia, Latin America, Eastern Europe, the Middle East and Africa.
ESG stands for environmental, social and governance standards.
These criteria help identify companies that operate in line with these standards and demonstrate a commitment to responsible business practices.
The fund invests exclusively in companies that meet these criteria.
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Investments in financial instruments always involve financial risk, including the risk that no return will be generated or that the principal invested may be lost. Past performance is not a reliable indicator of future results. Please note that the risk associated with an investment increases if it is financed through borrowing, and returns may increase or decrease due to fluctuations in performance.
Investment in international funds may also entail currency risk. The value of an investment and its return may therefore increase or decrease as a result of changes in the exchange rates of the currencies in which the relevant fund is denominated or settled against the Icelandic króna. When investing in international funds, investors may also engage in foreign exchange transactions that are subject to costs and exchange rate fluctuations.
All investors are encouraged to conduct their own investigations and analyses, including reviewing relevant disclosure documents and independently assessing such documents before making any investment decision. More detailed information about a fund, including information on risks and whether the fund is classified as a UCITS fund or an alternative investment fund marketed towards the public, can be found in the prospectus, key information document and other relevant materials. Such documents are generally available from the fund’s management company, issuer or distributor.
The tax treatment of investments depends on the circumstances of each individual investor and may change in the future. Investors are therefore encouraged to familiarize themselves with the tax implications of their investments and, where appropriate, seek professional advice.
The information provided herein is for informational purposes only and should not be construed as an offer or as personalized investment advice regarding the purchase, sale or other disposition of financial instruments. The information is based on sources believed to be reliable. However, no representation or warranty is made as to its accuracy. No responsibility is accepted for any decisions or transactions undertaken on the basis of the information provided herein.
The fund tracks an index that measures the performance of large and mid-sized companies across 24 emerging markets worldwide. It invests only in companies that meet responsible business standards.
The fund suits investors who want to invest in responsible companies and are comfortable with some fluctuations in returns. The recommended minimum investment period is five years.