The Fund aims to provide its investors with long-term return by investing its assets in major stocks markets. The Fund´s strategy is to invest at least 70% of its net assets in shares, mainly issued by companies that carry their main activity in non-emerging or developing countries without restrictions to specific markets or currencies. The Investment Manager is free to manage the exposure to relevant exchange rates and may decide to hedge (an investment position intended to offset potential losses) or not to hedge exchange risks. The Fund may invest in Financial Derivatives Instruments (instruments whose prices are dependent on one or more underlying assets ´FDIs´). The Fund may also invest in a wide range of securities predetermined by the law. On an ancillary basis, the Fund may hold cash and cash equivalents.