| NASDAQ (NMS) Exchange | US Country |
This fund operates with a focus on diversified investment, primarily engaging in a mix of equity and fixed income securities. It strategically allocates between 65% to 95% of its assets in equities, encompassing a broad spectrum of growth and value stocks from both the U.S. and international markets. The remaining portion, 5% to 35%, is invested in fixed income securities, providing a balanced approach to risk and return. Its equity investments range across companies of all sizes, affording investors access to a wide array of growth opportunities. On the fixed income side, the fund is involved in a variety of instruments, including government and corporate obligations as well as securitized debt instruments, to further diversify and stabilize its portfolio, aiming to deliver consistent long-term returns.
Invests in a mix of growth and value stocks from both U.S. and foreign markets, covering companies of any size. This allows for diversified exposure to market movements and opportunities for capital appreciation.
Allocates a portion of its assets to fixed income instruments, including U.S. and foreign government obligations, corporate bonds, and securitized debt instruments like mortgage-backed securities. This strategy aims to provide steady income and reduce portfolio volatility.