CSR Bond Plus is an actively managed fund aimed at maximizing capital growth by primarily holding a diverse range of domestic and international interest-bearing bonds. Over 35% of its assets are invested in securities and money market instruments from public issuers. The fund emphasizes environmental, social, and governance (ESG) factors when selecting investments, focusing on companies involved in power generation, natural gas extraction, and nuclear-powered electricity production. Additionally, CSR Bond Plus uses derivatives to enhance its investment strategy and manage risks, with the management team carefully choosing individual bonds to achieve the fund’s growth objectives.