The fund aims to achieve long-term capital growth through a growth-oriented investment policy, focusing on value preservation and long-term growth for retirement savings.
Fund Exposure
The fund invests in international equities, as well as in bonds, cash, money market instruments, funds, and corporate and government bonds with varying maturities and credit ratings. The investment strategy includes an active management process without tracking a specific benchmark index.
Risks
Investors should be aware that the fund may use derivative transactions for hedging, investment, portfolio management, and generating additional returns, including for speculative purposes. The fund manager has the discretion to change the actual investment strategy without prior notice to investors. Additionally, the fund may suspend redemptions in extraordinary circumstances to protect investor interests. It is recommended that investors with a short-term investment horizon of less than 5 years may not find this fund suitable.