Emerging market equity fund inflows have dropped to near zero in recent weeks, while investors put money towards
diversified global equity funds.
Global Blend, managed by the QEP team, is an actively managed, index unconstrained, highly
diversified global equity fund.
Not exact matches
Fidelity Strategic
Funds are multi-asset-class strategies that seek to address key income needs — bond income from
global sources, non-bond income, and real return — by investing in a
diversified mix of fixed income and / or
equity investments chosen for their historical combined performance.
Our
diversified funds (Oakmark, Oakmark International, Oakmark
Global, Oakmark
Equity and Income, and Oakmark International Small Cap) generally own 40 - 60 stocks each.
The
Fund seeks to maximize total return by investing in a
diversified, risk - balanced
global market portfolio with exposure to
global equities, sovereign debt, inflation - protected securities and commodities.
The
fund seeks to provide
diversified exposure to the
global equity markets through a combination of individual stocks and exchange - traded
funds (ETFs).
These are
diversified global,
equity funds.
It will be broadly
diversified across
global asset classes, and will generally seek to maintain an asset allocation of approximately 40 % in underlying
funds that invest in
equity and 60 % in underlying
funds that invest in fixed income, although the allocation may shift over time depending on market conditions.
Fidelity Strategic
Funds are multi-asset-class strategies that seek to address key income needs — bond income from
global sources, non-bond income from dividend - paying securities, and real return to help protect against inflation — by investing in a
diversified mix of fixed income and / or
equity investments chosen for their historical combined performance.
As a part of its restructuring, the
Fund's investment objective has been changed to mandate that the
Fund provide investors with stable income and long - term capital appreciation by investing in a
diversified portfolio consisting primarily of
global equity and fixed - income securities.
They are also
diversifying the business by product as well, having Canadian
equity,
global equity, hedge
funds, fixed income and sector
funds.
While
global equity funds can be volatile and involve more risk than Canadian investments — depending on the state of world affairs, currency fluctuations and other economic and political factors — they
diversify against any type of country or political risk an investor might encounter.
The
Global Real Estate Securities
Fund (Russell Investments) is a multi-manager fund that seeks to achieve its objective by concentrating its investments in equity securities of real estate companies («real estate securities») located in a number of countries around the world, including the U.S., in a globally diversified man
Fund (Russell Investments) is a multi-manager
fund that seeks to achieve its objective by concentrating its investments in equity securities of real estate companies («real estate securities») located in a number of countries around the world, including the U.S., in a globally diversified man
fund that seeks to achieve its objective by concentrating its investments in
equity securities of real estate companies («real estate securities») located in a number of countries around the world, including the U.S., in a globally
diversified manner.
Fidelity Strategic
Funds are multi-asset-class strategies that seek to address key income needs — bond income from
global sources, non-bond income, and real return — by investing in a
diversified mix of fixed income and / or
equity investments chosen for their historical combined performance.
Franklin Templeton
Global Allocation
Fund seeks total return by investing in a
diversified portfolio of
equity and fixed income securities supplemented by a tactical investment strategy, which may include cash and financial derivative instruments designed to allow the
Fund to adjust its exposure to asset classes, geographic regions, currencies and market sectors.
«We see value in industry - leading companies with
diversified revenue streams and well - established pricing power,» said Lisa Myers, CFA ®, the
fund's lead
equity portfolio manager and executive vice president of the Templeton Global Equity
equity portfolio manager and executive vice president of the Templeton
Global Equity Equity Group.
With TD Low Volatility
Funds, you can potentially benefit from a reduced level of volatility in your overall portfolio, a more predictable return outcome when compared to traditional equity mutual funds, and with the option of Canadian, US, global, or emerging market low volatility funds, you can tailor a diversified portfolio based on your level of risk and investment g
Funds, you can potentially benefit from a reduced level of volatility in your overall portfolio, a more predictable return outcome when compared to traditional
equity mutual
funds, and with the option of Canadian, US, global, or emerging market low volatility funds, you can tailor a diversified portfolio based on your level of risk and investment g
funds, and with the option of Canadian, US,
global, or emerging market low volatility
funds, you can tailor a diversified portfolio based on your level of risk and investment g
funds, you can tailor a
diversified portfolio based on your level of risk and investment goals.