The Gco Global 50 FI fund allocates up to half of its portfolio to a diverse selection of international stocks, primarily focusing on large and mid-sized companies from OECD countries and some emerging markets. The other half is invested in euro-denominated fixed income securities issued by reputable public and private entities within the Eurozone and other OECD nations. These fixed income investments are all investment-grade and have an average maturity of more than two years, ensuring a balanced and stable investment approach.