The fund aims to achieve long-term capital growth by investing in undervalued, high quality, large and mid-cap stocks worldwide. It follows a core investment style that is complemented by a quantitative approach for stock selection, portfolio construction, and transaction cost measurement. To respond to unfavorable market conditions or for liquidity purposes, the fund may hold cash or short-term debt securities. Additionally, it has the flexibility to invest in other ETFs managed by the Manager. The fund follows an ESG-Integrated approach, systematically incorporating ESG factors deemed material to financial performance into its stock selection models, as part of its commitment to Sustainable Investing.