LBBW Balance CR 75 aims for medium to long-term capital growth by building a diversified portfolio that includes 50% to 100% in various equity funds, up to 50% in bond funds, up to 30% in mixed funds, up to 50% in money market funds, and up to 20% in bank deposits. The fund management carefully selects multiple target funds to invest indirectly in a wide range of securities, leveraging specialist managers' expertise to enhance diversification and manage risk effectively.