Octopus Growth Fund 2 Inc
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Virgin Money Growth Fund 2 Inc. aims for long-term total returns by investing primarily in a diverse global mix of higher-risk assets, including stocks from both developed and emerging markets and lower-rated corporate bonds (BB or below), which make up at least 60% of the portfolio. The remaining roughly 40% is allocated to more stable investments like high-quality government bonds, investment-grade corporate bonds (BBB or higher), and cash. As a fund-of-funds, it selects various underlying funds to balance growth potential with risk, ensuring a well-rounded international investment strategy.