SPDR Dow Jones Global Real Estate aims to match the performance of its Index before fees and other costs. Although the Investment Manager uses a range of strategies to help each Fund track its Index accurately, there is no assurance that any of the Funds will meet their objective. Neither the return of capital nor the performance of the Funds is guaranteed.
- The Investment Manager uses a passive investment strategy, investing in a portfolio of securities designed to reflect the characteristics of each Fund’s Index. Those securities can include: Index constituents, Equivalent securities, including Approved Depository Receipts (ADRs) and Global Depository Receipts (GDRs), Derivative contracts, including exchange traded futures contracts and options over Index constituents, used only in limited circumstances.
- The Funds will not take part in securities lending.