AVO 30 privat is designed to achieve long-term growth by investing in a balanced mix of corporate bonds, stocks, money market instruments, and callable deposits. Up to 70% of the fund’s assets are allocated to corporate-issued bonds and money market products from European Economic Area countries and their regions. The remaining investments include a diverse range of equities and similar securities, with the fund manager having full flexibility to select investments across all regions, industries, sectors, and credit ratings. This diversified approach aims to generate positive returns over the long term.