Russell Investments offer a range of equity funds, including actively managed and factor-based solutions, both regional and global. With full visibility into stock level holdings, we dynamically manage allocations using our proven investment strategy process, with the aim to achieve stronger risk-adjusted returns than can typically be achieved by a single active manager.

Featured funds

Emerging Markets Equity Fund

Our multi-manager approach is especially powerful in emerging markets and frontier markets; helping investors overcome capacity challenges and access the most interesting opportunities.


China Equity Fund

We believe that investors can benefit from our local presence to exploit the full range of regulatory, social and economic factors that influence the Chinese market.

Global Low Carbon Equity Fund

The Russell Investments Global Low Carbon Equity Fund provides investors with global equity market beta but with substantially lower carbon and fossil fuel exposure at a low price.


Visit our funds page to view the key documents.

Emerging Markets Equity Fund

China Equity Fund

Continental European Equity Fund

Emerging Markets Extended Opportunities Fund

Japan Equity Fund

UK Equity Fund

World Equity Fund

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Investing in a global mix of asset classes in a single investment portfolio.

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Fixed income

A range of funds, including unconstrained and multi-asset credit, which target real returns.

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Increasingly used by institutional investors to help achieve both return and diversification goals.

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Any opinion expressed is that of Russell Investments, is not a statement of fact, is subject to change and does not constitute investment advice.

The value of investments and the income from them can fall as well as rise and is not guaranteed. You may not get back the amount originally invested.

Please refer to the prospectus of the relevant [UCITS or AIF or EuSEF or EuVECA] and/or Information document of the relevant [AIF/EuSEF/EuVECA], and (where relevant) to the [KIID/KID] before making any final investment decisions.

Investing in frontier and emerging markets carries a greater risk due to uncertainties such as international political developments, changes in government policies and other developments in laws and regulations. Furthermore, the legal infrastructure, accounting, auditing and reporting standards may not provide the degree of investor protection or transparency associated with investment in major securities markets.