Top & bottom region weightings vs comparative index (%)
Top & bottom sector weightings vs comparative index (%)
Top & bottom stock weightings vs comparative index (%)
Top holdings (%)
Portfolio statistics
Fund
Index
United States
63.7
Europe ex UK
13.7
Emerging Markets
10.4
United Kingdom
5.6
Far East ex Japan
2.4
Japan
2
Other
1.3
Cash
0.9
Important information
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The Fund invests primarily in shares of companies on a global basis. Equity investments could be volatile and subject to high risk of loss.
The Fund may use derivatives for hedging and/or efficient portfolio management purposes and may be exposed to significant risk of loss when the use becomes ineffective.
In adverse situations, the Fund may suffer significant losses. It is possible that the original amount you invested could be lost.
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