FV Global Bonds is an actively managed fund focused on achieving steady value growth by investing primarily in a diverse selection of global bonds, with at least 51% of its portfolio in non-Euro denominated bonds. The fund carefully selects its bond investments based on comprehensive analyses of issuers and the broader economic landscape, allowing for flexibility in its investment approach. Additionally, the fund may use derivatives to manage currency risks or to substitute bonds when appropriate, ensuring the portfolio is strategically positioned to meet its investment objectives.