The Fund is intended to provide capital appreciation over the medium to long term (7 years plus) by investing in a diversified portfolio of assets. To achieve the investment objective, the Fund typically invests in a mix of assets including equities, bonds and currencies from anywhere in the world. The Fund may invest in these assets directly or indirectly. The fund aims to gain exposure to fixed income assets in a range of 0-60%, and in equity assets in a range of 0-40%. The remaining portion of the Fund’s assets will be invested in money market instruments, cash, near cash and deposits. Indirect investment in securities will be achieved by investing in Collective Investment Schemes (“CIS”).