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Europe Active Strategy

Investment Objective

Each Portfolio seeks to provide a total investment return in excess of the performance of its benchmark index (the "Index") over the long term. 

BENCHMARK: MSCI Europe Index

Investment Strategy

Equities of companies in the MSCI Europe Investable Market Index; and may include other companies.

SSGA uses in-depth investment analysis to construct a portfolio which we believe has the potential to outperform the Index. In performing this analysis, SSGA considers factors such as relative valuations, the quality of a company's earnings, the company's balance sheet and cash flows, and investor sentiment. We also incorporate an element to evaluate the macroeconomic environment for a portion of our model determined by prevailing market conditions. This seeks to maintain a disciplined approach that is adaptive to the macroeconomic environment and responsive to changing conditions.

SSGA seeks to outperform the Index by 200 basis points (on an annualized basis) over the long term, with a projected active risk* of approximately 200 to 500 basis points. There can of course be no assurance that any Portfolio will achieve that level of performance or will maintain that level of active risk. 

The Strategy is normally broadly invested among various stocks, sectors, and countries.

Note:

The MSCI Europe Index is a trademark of MSCI Inc.

There are risks involved with investing, including possible loss of principal. You should refer to the Strategy's Disclosure Document (SDD) for a complete description of the risks of investing in the Strategy. Please contact SSGA's relationship management team for a copy of the SDD.