The fund mainly invests directly and indirectly in equities issued by companies which are based in the Far East or which pursue more than 50% of their activities (by sales or production) in the Far East excluding Japan, or which are included in the fund's benchmark. The companies are from various countries and sectors.
The objective of the portfolio management is to yield a return over time which is at least in line with the market development in the Far East equity markets measured by the benchmark mentioned above.
The fund may use derivative financial instruments.
MSCI All Country Asia ex. Japan (Net Total Return)
The benchmark has applied since: 01.01.2005