LSV Funds PLC Information Access

Viewing information about LSV Funds plc (authorized pursuant to the European Communities (Undertakings for Collective Investment in Transferable Securities) Regulations 2011 (as amended) (the “UCITS Regulations”)) requires investors to meet certain terms and conditions. You are asked to review these terms and conditions and if appropriate to your situation to certify that you qualify for access by checking the box below and clicking the submit button.
Terms and Conditions

LSV Funds plc is authorized under the UCITS Regulations and offers shares in UCITS registered funds to certain non-U.S. persons. This site is not intended for U.S. persons and purchase orders from U.S. persons or other ineligible investors will not be accepted by LSV Funds plc. LSV Funds plc is available only to residents of those jurisdictions where allowed by applicable law and you will not take any action or omit to take any action which may require the shares of LSV Funds plc or any offering of such shares to become registered for sale under the laws of any jurisdiction.

The information on this website should not be construed as an offer to sell or a solicitation of an offer to buy to any persons who are prohibited from receiving such information under the laws applicable to their place of citizenship, domicile or residence.

Information about LSV Funds plc is not for distribution in any jurisdiction where access to such information or ownership of shares would contradict applicable law or regulation. Availability of LSV Funds plc information or documentation in a specific language shall not imply that LSV Funds plc is registered in the jurisdictions where such language is spoken. You must observe all legal or regulatory restrictions that affect your eligibility to access website content or subscribe for shares in LSV Funds plc. Please seek professional advice if needed.

Investing involves risks as outlined in the relevant offering documents. Past performance does not guarantee future results.
No information on this site constitutes investment, legal, tax or other advice. LSV Funds plc may not be suitable for you.

Certification

I am not a U.S. person and am permitted by the laws of my place of citizenship / domicile / residence to access and use this site and its information. I have read and understood the terms and conditions of use and agree to be bound by them.

LSV Emerging Markets Equity Fund


Fund Information (as of 12/31/20)

Asset Class: Emerging Markets Equity
Fund Inception: September 21, 2017
Assets in Fund: €0
Benchmark: MSCI Emerging Markets
Minimum Holdings: 0
Market Cap Range: at least $50 million

Investment Approach

  • Quantitative
  • Deep Value Orientation
  • Well Diversified / Risk Controlled

The LSV Emerging Markets Equity Fund, an Ireland based UCITS Fund is no longer available for investment.


No information on this site constitutes investment, legal, tax or other advice.