The objective of the Fund is to provide capital growth over any seven-year period. The Fund is actively managed via a diversified portfolio of collective investment schemes with exposure mainly to shares in any economic sector or geographic area as is felt appropriate by the Manager at any given time. A minimum of 70% of the portfolio will be invested into collective investment schemes (which may include schemes operated by the manager, associates or controllers of the manager). Normally, the Fund will be fully invested in collective investment schemes, save for an amount to enable ready settlement of liabilities (including redemption of units) and efficient management.