PRIMARILY INVESTS IN
  • Global bonds
INVESTMENT HORIZON
  • Medium-term (2 to 5 years)
CURRENCY
CATEGORY
  • SPVs
DISTRIBUTION
BY REGION / SECTOR
  • Global

Features


This sub-fund seeks positive gains irrespective of market conditions mainly by investing in a diversified portfolio comprised of money market instruments and debt and all types of debt-related securities. The sub-fund can take long and short positions in derivatives. The sub-fund can also invest up to 25% of its assets in sub-investment grade debt and debt-related instruments and up to 25% of its assets in convertible bonds. Please consult the Prospectus to find out more about the investment goal.

MUTUAL FUNDS & UNITS IN COLLECTIVE INVESTMENT SCHEMES HAVE NO GUARANTEED RETURN & PAST RETURNS DO NOT GUARANTEE FUTURE ONES.