Diversified common stocks and convertible securities of companies domiciled outside of the United States, with consideration given to the industry and country allocations of the MSCI Growth EAFE Index.
Investment Objective
Seeks long-term capital appreciation.
Investment Strategy
At least 80% of the value of the Fund's total assets is usually invested in a diversified portfolio of common stocks and convertible securities issued by companies that are domiciled outside of the U.S.
The Fund uses a bottom-up, stock-driven approach to country and asset allocation, with the objective to select stocks that can sustain an above-average growth rate and trade at a reasonable price.
Risk Factors
As with all mutual funds, the value of an investment in the Fund could decline, so you could lose money. International investing involves special risks, which include changes in currency rates, foreign taxation and differences in auditing standards and securities regulations, political uncertainty and greater volatility.