The fund aims to provide a higher total return (the combination of income and capital growth) than that of the corporate bond markets in emerging markets over any three-year period while applying ESG Criteria.
The fund applies ESG Integration. ESG integration is the systematic inclusion of ESG factors in investment analysis and investment decisions.
The fund invests in securities that meet the ESG Criteria.
The benchmark of the fund is the JPM CEMBI Broad Diversified Index. It is a comparator against which the fund’s performance can be measured. The benchmark is not an ESG benchmark and is not consistent with the ESG Criteria.
Further information on the ESG methodology, including data sources, screening criteria and the relevant sustainability indicators of the fund can be found in the ESG Criteria document.
A description of ESG and responsible investment terms used is available in the fund’s Prospectus.