WS Keyridge Portfolio V Fund C Accumulation
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The WS Canlife Portfolio V Fund invests globally, including emerging markets, by allocating at least 90% of its assets through other funds into a diversified mix of equities, bonds, cash, money market instruments, and property. Specifically, up to 75% of the portfolio may be held in equities via these external funds, while an additional 10% can be directly invested in equities, bonds, cash, and money market instruments. This strategy ensures a balanced and diversified portfolio, allowing the fund to manage risk by regularly adjusting the proportions of different asset types based on market forecasts and performance expectations.
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Globalmulti assetdynamic planner risk managed index
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WS Keyridge Portfolio V Fund G Accumulation
WS Keyridge Portfolio V Fund G Accumulation
WS Keyridge Portfolio V Fund G Accumulation