The Primary objective of this fund is to target a total return of inflation plus 5% over a rolling 4-5 periods with a total TER of below 1%. The fund has no constraints and is not Regulation 28 compliant.
The primary objective of the portfolio will be to outperform its benchmark through active asset allocation. The portfolio will be aggressively managed with assets being shifted between the various markets and asset classes to reflect changing economic and market conditions to maximise total returns over the long term.
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