Investment Objective Clause Samples
The Investment Objective clause defines the specific financial goals or targets that an investment or portfolio is intended to achieve. It typically outlines parameters such as desired returns, risk tolerance, time horizon, and any restrictions on asset classes or sectors. For example, it may specify that the fund aims for long-term capital appreciation with moderate risk, or that it will avoid investments in certain industries. This clause ensures that all parties have a clear understanding of the investment strategy, helping to align expectations and guide decision-making throughout the investment period.
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Investment Objective. The Trust was created to invest and hold substantially all of its assets in Gold Coins. The Trust seeks to provide a secure, convenient and exchange-traded investment alternative for investors interested in holding physical gold without the inconvenience that is typical of a direct investment in physical gold. The Trust does not anticipate making regular cash distributions to Unitholders.
Investment Objective. The Portfolio will notify the Fund at least 75 days prior to amending its investment objective or policies in any material respects.
Investment Objective. The Company’s investment objective is to generate attractive, consistent, total returns, predominantly in the form of current income and, to a lesser extent, capital appreciation, by targeting investment opportunities with favorable risk-adjusted returns. The Trustees shall have power with respect to the Company to manage, conduct, operate and carry on the business of a business development company. The Independent Trustees shall review the investment policies of the Company with sufficient frequency (not less often than annually) to determine that the policies being followed by the Company are in the best interests of its Shareholders. Each such determination and the basis therefor shall be set forth in the minutes of the meetings of the Board of Trustees.
Investment Objective. The objective of the Sub-Adviser Assets, established in support of the objectives of the total Fund, is capital appreciation over the long term. Under normal market conditions, the Sub-Adviser will invest at least 80% of its net assets (including amounts borrowed for investment purposes) in the securities of small capitalization companies. If the Small Cap Value Fund changes this investment policy, it will notify its Adviser at least 60 days in advance of the change, which will promptly notify the Sub-Adviser. The Fund considers small capitalization companies to be U.S. companies whose market capitalization is $2 billion or smaller at the time of purchase. The Sub-Adviser's investment in equity securities may include common and preferred stocks. The Sub-Adviser may also invest up to 15% of its assets in American Depositary Receipts ("ADRs"). ADRs are equity securities traded on U.S. exchanges, including NASDAQ, that are generally issued by banks or trust companies to evidence ownership of foreign equity securities. All Sub-Adviser purchases for the Fund must be made in the equities of companies that have market capitalization of $2 billion or less. In addition, the Sub-Adviser has been hired to manage the money in a manner consistent with investing in value stocks. The Fund will seek to remain in the Small Cap Value portion of the Morningstar Style Box. To do so, the Adviser may require the Sub-Advisers to reduce their portfolios' exposure to stocks that fail to be defined by Morningstar as "value stocks". In addition, the Adviser may require the Sub-Advisers to reduce their portfolios' exposure to stocks that exceed $2 billion market capitalization.
Investment Objective. The Adviser and BDI will notify the Fund at least 60 days prior to the Portfolio changing its investment objective or policies.
Investment Objective. The Company’s investment objective is to generate current income and, to a lesser extent, long-term capital appreciation. The Trustees shall have power with respect to the Company to manage, conduct, operate and carry on the business of a BDC. The Independent Trustees shall review the investment policies of the Company with sufficient frequency (not less often than annually) to determine that the policies being followed by the Company are in the best interests of its Shareholders. Each such determination and the basis therefor shall be set forth in the minutes of the meetings of the Board of Trustees.
Investment Objective. The Trust’s investment objective is to target high risk-adjusted returns produced primarily from current income generated by investing primarily in directly originated, senior secured corporate debt instruments. The Trustees shall have power with respect to the Trust to manage, conduct, operate and carry on the business of a business development company. The Independent Trustees shall review the investment policies of the Trust with sufficient frequency (not less often than annually) to determine that the policies being followed by the Trust are in the best interests of its Shareholders. Each such determination and the basis therefor shall be set forth in the minutes of the meetings of the Board of Trustees.
Investment Objective. The Trust was created to invest and hold substantially all of its assets in physical silver bullion. The Trust seeks to provide a secure, convenient and exchange-traded investment alternative for investors interested in holding physical silver bullion without the inconvenience that is typical of a direct investment in physical silver bullion. The Trust does not anticipate making regular cash distributions to Unitholders.
Investment Objective. The Fund seeks to track the performance of a benchmark index that measures the investment return of the overall stock market.
Investment Objective. The fund seeks to track the performance of a broad, market-weighted bond index. Primary Risks: Interest rate risk, Income risk, Call risk, Prepayment risk, Extension risk, Credit risk, Index sampling risk, Liquidity risk. For a description of all risks, see Exhibit C. Vanguard Real Estate Index ETF 529 Portfolio – invests solely in the Vanguard Real Estate Index ETF. Investment Objective: The fund seeks to provide a high level of income and moderate long-term capital appreciation by tracking the performance of a benchmark index that measures the performance of publicly traded equity REITs and other real estate-related investments. Principal Risks: Industry concentration risk, Stock market risk, Interest rate risk, Investment style risk, Nondiversification risk. For a description of all risks, see Exhibit C. Vanguard Global ex-U.S. Real Estate Index ETF 529 Portfolio – invests solely in the Vanguard Global ex-U.S. Real Estate Index ETF. Investment Objective: The fund seeks to track the performance of a benchmark index that measures the investment return of international real estate stocks. Primary Risks: Industry concentration risk, Investment style risk, Stock market risk, Country/regional risk, Currency risk, Derivatives risk. For a description of all risks, see Exhibit C. Vanguard Mega Cap Value Index ETF 529 Portfolio – Investment Objective: The fund seeks to track the performance of a benchmark index that measures the investment return of large-capitalization value stocks in the United States. Principal Risks: Stock market risk, Investment style risk. For a description of all risks, see Exhibit C. Vanguard Mega Cap Index ETF 529 Portfolio – invests solely in the Vanguard Mega Cap Index ETF. Investment Objective: The fund seeks to track the performance of a benchmark index that measures the investment return of large-capitalization stocks in the United States. Principal Risks: Stock market risk, Investment style risk. For a description of all risks, see Exhibit C. Vanguard Mega Cap Growth Index ETF 529 Portfolio – Investment Objective: The fund seeks to track the performance of a benchmark index that measures the investment return of large-capitalization growth stocks in the United States. Principal Risks: Stock market risk, Investment style risk, Nondiversification risk, Sector risk. For a description of all risks, see Exhibit C. Vanguard Mid-Cap Value Index ETF 529 Portfolio – invests solely in the Vanguard Mid-Cap Value Index ETF. Investment Objectiv...