This fund primarily aims for long-term growth in its investment value. It typically allocates its capital mainly to common stocks of companies located outside the United States. A substantial portion of its portfolio, at least 80% of its assets, is concentrated in firms predominantly operating within the real estate sector or other investments tied to real estate. The fund diversifies its holdings by spreading them across various international countries and geographic areas. Investment selections are made using thorough fundamental analysis, scrutinizing factors such as each issuer's financial stability, its competitive standing in the industry, and broader market and economic trends. Notably, this fund operates as a non-diversified investment.