The fund aims to achieve growth through capital gains and income from investing across a diversified range of global asset classes - equities, bonds, property, commodities, cash and alternative assets. The strategic and tactical asset allocation strategies employed by the fund managers aim to generate long-term capital growth while targeting a volatility range of 0.5% - 2% over a rolling 5-year period.
- Diversified range of asset classes including equities, bonds, property, cash and alternative assets.
- Its aim is to generate long-term capital growth.
- A target volatility of 0.5-2% over a rolling five year period.
- Risk rating: 2