Overview
The Fund is managed by Wellington Management who oversees the investment decision making process. The Fund seeks to achieve total return by investing principally in equity securities of companies which are domiciled in or exercise the predominant part of their economic activity in Japan. The manager believes in leveraging the structural investment opportunities presented by Japanese companies with strong balance sheets, attractive valuation, and value realization potential through proactive engagement with portfolio company management teams and boards. The Fund’s approach centers on identifying companies with the potential for value creation, downside risk mitigation, and value realization.