The fund aims to achieve capital growth over the long term by investing at least 51% of its assets in international convertible bonds and options. It may also invest in international fixed-income securities, including corporate and government bonds with varying maturities and credit qualities.
Fund Exposure
The fund is exposed to a mix of asset classes, with a focus on international convertible bonds and options. It follows a benchmark allocation of 65% to European focus, 20% to US investment grade, 12.5% to Japan investment grade, and 2.5% to Asia ex Japan. The fund may also use derivatives for hedging, speculation, and efficient portfolio management.
Risks
Investors should be aware that the fund's performance may deviate significantly from its benchmark index. Additionally, the fund may invest in securities and money market instruments of specific issuers, exceeding 35% of the fund's value. The use of derivatives and the active management approach may introduce additional risks to the fund.