
The fund aims to provide an average annual return of 7% after deduction of ongoing fund charges over a typical market cycle of 5-7 years.The fund typically has a large exposure to equities meaning that it is likely to experience short-term price fluctuations in line with these markets.The fund provides global exposure to a diversified range of assets (including bonds, equities, alternatives and commodities) by investing at least 70% into funds.Asset allocation exposure of the fund will be actively managed subject to it remaining within the following parameters in all market conditions 80-100% equity, 0-20% debt instruments,0-10% cash and 0-20% alternatives
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