The objective of the Fund is to deliver the net total returns of a selection of listed US equities. In order to achieve its investment objective, the Management Company uses its proprietary quantitative model implementing a rules-based approach that aims to assess the securities from the Investment Universe on the basis of their ESG (Environment, Social, Governance) characteristics and exposure to equity factors (Momentum, Size, Value and Volatility). The Fund is an actively managed UCITS ETF.