
The investment objective of the fund is to achieve income and capital growth. The fund aims to achieve its investment objective on an active basis by investing in a portfolio primarily made up of Euro denominated investment grade corporate debt securities of issuers globally. The Investment Manager uses a combination of quantitative, fundamental and sustainability research to select securities which are weighted with a view to maximising portfolio return relative to the Benchmark. The fund will hold a portfolio of securities which is systematically selected and managed with the aim of outperforming the Bloomberg Euro Aggregate Corporate Index (the Benchmark). Income is reinvested into the fund.
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