The actively managed fund invests globally in equities of issuers from developed and emerging countries, including growth-oriented stocks. The investment approach of the sub-advisor focuses on identifying undervalued securities for long-term investment, using a bottom-up, research-driven approach that emphasizes individual companies. Multiple portfolio managers independently manage portions of the fund's assets. Environmental, social, and governance (ESG) factors that may impact the value of an issuer are considered. Although the fund does not seek short-term profits, securities are sold at the discretion of the sub-advisor. To manage risk and enhance investment strategies, the fund may use forward currency contracts. Additionally, it may invest in other ETFs and engage in securities lending, repurchase transactions, and reverse repurchase transactions. The fund typically distributes net income and net realized capital gains annually in December.