International Equity Index

Fund Resources

ClassCUSIPTicker
A76628R797SIIIX
C76628R789SIIFX
I76628R813SIEIX

Objective

The Fund seeks to provide investment results that correspond to the aggregate price performance of the securities included in the Morgan Stanley Capital International Europe, Australasia, Far East (EAFE), GDP Weighted Index.

Suitability

The Fund is suitable for investors seeking international equity capital appreciation and diversification from U.S. market related risk, and who are willing to assume risks such as the effects of currency fluctuation and political uncertainty.

Investment Risks

This Fund carries very high reward potential and, correspondingly, has greater risk tied to it than more conservative investments.

International investing involves increased risk and volatility. The performance of the Fund is expected to be lower than that of its corresponding Index because of Fund fees and expenses. Securities in which an index fund will invest may involve substantial risk and may be subject to sudden and severe price declines. Equity securities (stocks) are more volatile and carry more risk than other forms of investments, including investments in high-grade fixed income securities. The net asset value per share of this Fund will fluctuate as the value of the securities in the portfolio changes. Common stocks, and funds investing in common stocks, generally provide greater return potential when compared with other types of investments.

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