
The fund will invest at least 50% in equities (and their related securities) of companies globally, which could include countries considered to be emerging markets as determined by the Investment Manager at its sole discretion and aims to hold a concentrated portfolio of 40-60 securities. Derivatives, including covered call options, will be used for investment purposes in order to further enhance the income generated by the underlying investments. The Investment Manager is not restricted in terms of size, industry, or geographical split. The fund is actively managed and will invest in a concentrated portfolio of companies the Investment Manager considers will outperform over the period.
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