APO Piano is a fund aimed at delivering high and consistent returns while maintaining stability and minimizing risks. Its investment portfolio is primarily made up of bond and money market funds, which constitute at least 51% of the assets. Additionally, the fund allocates up to 35% to equity funds and up to 49% to mixed funds. APO Piano includes both actively managed funds and those that track market indices, ensuring a diversified and carefully selected mix to preserve capital and achieve steady growth over the long term.