New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE Japan Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in Japanese equities and equity related securities of companies that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index
New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE Developed Europe ex UK Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in equities and equity related securities of companies across developed markets in Europe that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index.
New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE 350 ex IT Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in large or midcap equities and equity related securities of companies in the UK market that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index.
New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE Developed Asia Pacific ex Japan Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in equities and equity related securities of companies across the Developed Asia Pacific region (excluding Japan) that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index.
New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE North America Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in US and Canadian equities and equity related securities of companies that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index.
New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE Emerging Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in equities and equity related securities of companies across Emerging Markets that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index.
New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE Developed Europe ex UK Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in equities and equity related securities of companies across developed markets in Europe that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index.
New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE Japan Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in Japanese equities and equity related securities of companies that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index.
New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE 350 ex IT Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in large or midcap equities and equity related securities of companies in the UK market that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index.
New Investment Objective:
The Fund aims to provide a total return (a combination of capital growth and income), delivering an overall return in line with the FTSE Developed Asia Pacific ex Japan Phoenix Climate Aligned Index (the “Index”), before management fees and expenses. The Fund aims to achieve its investment objectives, including the sustainability objective, by investing at least 90% of the portfolio in equities and equity related securities of companies across the Developed Asia Pacific region (excluding Japan) that are constituents of the Index in approximate proportion to their weightings in the Index. The holdings in the Fund therefore aim to replicate the constituents of the Index.