To provide long-term growth through capital appreciation. The Fund is managed to obtain a return that approximates the performance of the MSCI All Country Pacific Index. The MSCI All Country Pacific Index is a free float-adjusted market capitalization index comprised of stocks of companies from 12 developed and emerging Asian countries, including Australia and Japan.
The Fund may be suitable for:
A small portion of the international equity component of a diversified investment portfolio
Investors who want exposure to Asia and nearby regions and who are willing to accept a moderate degree of risk
Investors seeking returns close to those of the MSCI All Country Pacific Index
Those investing for the long term
What are the risks of investing in the Fund?
Currency risk, derivative risk, equity risk, emerging markets risk, foreign market risk, general market risk, index risk, large investor risk, legal and regulatory risk, risk of specializing, securities lending, repurchase and reverse repurchase agreements risk, and short selling risk
Refer to the Simplified Prospectus for more details
* Volatility (low to high): The lower the volatility ranking, the lower the risk of the fund. Funds with a volatility ranking of high are the most risky.
** Other dealers may have different minimum dollar requirements.