The fund seeks to provide risk-adjusted total return. It typically invests in equity securities and derivatives that provide exposure to equity or equity-related risk factors, using a systematic, quantitative model-based approach. It aims to manage volatility levels through diversification across markets, industries, and issuers, and may also use short positions.
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The fund seeks to provide risk-adjusted total return. It typically invests in equity securities and derivatives that provide exposure to equity or equity-related risk factors, using a systematic, quantitative model-based approach. It aims to manage volatility levels through diversification across markets, industries, and issuers, and may also use short positions.
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Daily adjusted close
The fund seeks to provide risk-adjusted total return. It typically invests in equity securities and derivatives that provide exposure to equity or equity-related risk factors, using a systematic, quantitative model-based approach. It aims to manage volatility levels through diversification across markets, industries, and issuers, and may also use short positions.