Macquarie SR Plus is an actively managed fund focused on generating long-term returns by primarily investing in European bonds and securitized debt securities, which make up at least 51% of its portfolio. The fund also diversifies by allocating up to 49% of its assets to other bonds, stocks, and cash equivalents like sight deposits, and up to 10% into other funds. Additionally, it uses derivative instruments to help manage risk. This balanced approach aims to provide steady income while embracing a variety of investment opportunities.