CO EURIZON SLJ EM EQUITY M30 ETF - USD
| Issuer: Connect ETFs |
| Asset Class: Equity |
| TER: 85bps |
| Trading Currency: USD |
| Pays Income: False |
| Listing Date: 02 Apr 2026 |
| Ticker: M30 |
| ISIN: IE000VMDRT50 |
This actively managed fund offers a strategic approach to investing in emerging market equities, with the primary goal of achieving long-term capital appreciation. The strategy is designed to outperform the MSCI Emerging Markets Index by leveraging a sophisticated, research-driven investment process. The portfolio managers employ a proprietary quantitative model combined with in-depth fundamental analysis to identify and select companies with strong growth potential, sustainable business models, and attractive valuations. This dual approach allows for a systematic yet discerning stock selection process, aiming to build a diversified portfolio of high-quality businesses across various developing countries and sectors.
The investment methodology begins with a quantitative screening of the broad emerging market universe, filtering for specific factors related to quality, value, and momentum. Companies that pass this initial screen undergo rigorous fundamental analysis by the investment team, which includes assessing their competitive positioning, management strength, and financial health. This active management enables the portfolio to be nimble and responsive to evolving market dynamics, distinguishing it from passive index-tracking funds. The resulting portfolio is a curated selection of companies that the managers believe offer superior risk-adjusted return potential over the long term.
This product is tailored for investors who are seeking to tap into the growth opportunities present in developing economies and who believe in the value of active management in navigating the complexities of these markets. It is suitable for those with a long-term investment horizon and a higher tolerance for risk, given the inherent volatility of emerging market equities. The fund can function as a core component of an emerging market allocation or as a tactical addition to a diversified global portfolio, offering the potential for alpha generation through skilled stock selection.
The investment methodology begins with a quantitative screening of the broad emerging market universe, filtering for specific factors related to quality, value, and momentum. Companies that pass this initial screen undergo rigorous fundamental analysis by the investment team, which includes assessing their competitive positioning, management strength, and financial health. This active management enables the portfolio to be nimble and responsive to evolving market dynamics, distinguishing it from passive index-tracking funds. The resulting portfolio is a curated selection of companies that the managers believe offer superior risk-adjusted return potential over the long term.
This product is tailored for investors who are seeking to tap into the growth opportunities present in developing economies and who believe in the value of active management in navigating the complexities of these markets. It is suitable for those with a long-term investment horizon and a higher tolerance for risk, given the inherent volatility of emerging market equities. The fund can function as a core component of an emerging market allocation or as a tactical addition to a diversified global portfolio, offering the potential for alpha generation through skilled stock selection.
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