MM Global FI seeks long-term capital growth by investing globally in a flexible mix of stocks and bonds. The portfolio can include a wide range of public and private issuers from both developed and emerging markets, without fixed limits on sectors or regions. The fund is open to including lower-rated or unrated fixed income securities and small-cap stocks, allowing it to adapt and concentrate in specific areas when opportunities arise. This diversified approach aims to achieve growth while maintaining annual volatility below 15%.