| NASDAQ Exchange | US Country |
The fund operates as a registered investment entity, concentrating its efforts predominantly in acquiring shares from other registered investment companies, commonly referred to as "underlying funds". It is designed to diversify its portfolio across various asset classes, adhering to a strategic allocation that, under ordinary circumstances, commits approximately 80% of its total net assets to equity investments while allocating the remaining 20% to fixed income investments. This investment framework is intended to balance growth through equities with the stability offered by fixed income assets, catering to investors looking for a diversified investment approach within a single fund entity.
The fund dedicates around 80% of its asset allocation towards equity investments, targeting shares of underlying funds that may include a broad range of sectors and geographical locations. This approach is aimed at investors seeking growth and is predicated on the long-term potential of the stock market. Equity investments can vary in risk and return profiles, offering opportunities for significant capital appreciation.
Approximately 20% of the fund's portfolio is allocated to fixed income investments. This segment includes investments in underlying funds that focus on debt securities, which could range from government bonds to corporate debt. The objective of this allocation is to provide investors with a steady income stream while aiming to preserve capital. Fixed income investments are generally considered less volatile than equities, making them an important component of the fund's strategy to balance risk and return.