Sanlam Multi Strategy Fund Class I1 GBP Base Inc
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General Objective
The Sanlam Multi Strategy Fund aims to outperform the UK Consumer Price Index over 5-year periods, with a target of generating a positive absolute return on a rolling 3-year basis.
Fund Exposure
The Fund is actively managed and invests in a diversified portfolio of instruments across various asset classes, including equities, fixed income securities, money market instruments, cash deposits, collective investment schemes, and exchange traded funds. The Investment Manager utilizes proprietary multi-asset investment strategies to allocate to different investment strategies and asset classes based on prevailing market conditions.
Risks
Investors should be aware that the Fund may use financial derivative instruments, such as futures and options, for indirect exposure to instruments and asset classes listed above. Additionally, this share class may use currency hedging techniques to reduce the impact of currency exchange rate fluctuations. It is recommended for investors with a time horizon of 5 years.