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{{label}}FUND OBJECTIVES
This Fund seeks to achieve long-term total return, which is a combination of income and capital growth with balanced risk and at the same time minimize capital risk by investing in a portfolio comprising primarily of bonds and equities.
This Fund is expected to deliver return at or in excess of the target level on a long-term basis while within the target volatility.
It is expected that the Fund’s average direct and indirect exposure to bonds will be approximately 50% over the long-term. However, this exposure may vary over time.
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