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Expected Risk Reduction: up to 35%

Inception: 11/01/2000


Non-U.S. Equity Strategies

Overview and Capabilities

We’ve been successfully applying our philosophy and process to non-U.S. markets since 2005, enabling you to tap our distinctive alpha source through our active core, low volatility and adaptive volatility platforms. Complement your traditional manager line-up with our capabilities.

  • Four non-U.S. equity strategies available, including one based on MSCI Canada1
  • Over US$10 billion invested in non-U.S. equities1
  • Available in several types of investment vehicles

We employ one process across our non-U.S. equity strategies. Strategies differ by investment platform, benchmark and risk budget.

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