B&H Flexible FI is a global investment fund that allocates up to 80% of its portfolio to equities and the remaining 20% to a diverse range of fixed income instruments. The fixed income portion includes public and private debt, money market instruments, subordinated debt, preferred shares, convertible bonds, and liquid securitizations. This flexible approach allows the fund to invest in various types of securities without restrictions on credit quality, duration, or specific economic sectors, enabling it to adapt and diversify across different asset classes to pursue its management objectives.