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ETF List
(1) For more information, please visit the detailed pricing page by clicking on the relevant NAV figure above.
(1) Securities traded in EUR could be denominated in USD and are converted into EUR using the public exchange rate. Please note that these are indicative NAVs, unhedged against the base currency. Therefore, the daily return in the trading currency is not likely to match the daily return in the base currency.
The FSA’s Conduct of Business Sourcebook rule 2.2.3R requires ETFX Investment Management LLP (“ETFX IM”) to include a disclosure of the nature of its commitment to the UK Stewardship Code (the “Code”) issued by the Financial Reporting Council. ETFX IM does not commit to the Code because it believes that it is not relevant to investment managers of exchange traded funds. If the firm does not commit to the Code, it must state in general terms its investment strategy. The code sets out various principles relating to the level of engagement by investors with UK equity investors.
ETFX IM’s investment strategy is to, on behalf of its client, track the performance of the applicable benchmark index of the relevant exchange traded fund . This strategy does not result in it trading single equities. Therefore, although ETFX IM supports the objectives set out within the Code, the provisions are not deemed to be relevant to the type of investment strategy and trading currently undertaken by it. Should any material changes occur to the strategy which would make the Code relevant, ETFX IM will amend this disclosure.
ETFX IM’s Remuneration Code disclosure can be found here
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