This fund aims to generate substantial capital appreciation over the long term. Its strategy involves the Adviser typically allocating assets primarily to common stocks of non-U.S. companies. These investments are diversified across companies located in at least three distinct countries outside of the United States. The Adviser seeks out firms that demonstrate a favorable combination of sustainable profitability over the long term, stability in their share price, and attractive valuations. The portfolio predominantly comprises mid- and large-capitalization companies.