The fund’s objective is to provide capital growth primarily through investment in equity securities of Japanese companies.
In order to achieve the objective, the Investment Manager will invest in a broadly diversified portfolio of securities selected through the application of analytical techniques.
This Fund may employ financial derivative instruments for hedging or investment purposes in accordance with its risk profile as disclosed below. Financial derivative instruments can be used for example to create market exposures through equity, currency, volatility or index related financial derivative instruments and may include over-the-counter or exchange traded options, futures, contracts for difference, warrants, swaps, forward contracts or a combination of these.
Links:  http://www.globalfunddata.com/funds/new/performance/management?variant=Schroder Investment Management Lux S.A.
 http://www.globalfunddata.com/funds/new/performance/fund_administrator?variant=J.P. Morgan Bank Luxembourg S.A.
 http://www.globalfunddata.com/funds/new/performance/strategy?variant=Japan Large-Cap Equity
 http://www.globalfunddata.com/funds/new/performance/city?variant=Hong Kong___Hong Kong
 http://www.globalfunddata.com/funds/new/performance/country?variant=Hong Kong
 http://www.globalfunddata.com/funds/new/performance/custodian?variant=J. P. Morgan Bank Luxembourg S.A.
 mailto:email@example.com?subject=Mail from GFM Ltd