The Fund aims to provide a return of capital and income over the medium to longer term (5 years or more) consistent with its risk profile. The Sub-Fund’s investments and the proportion of its exposure to them will be determined by its risk profile in accordance with its banding. The Fund is at the lower end of the Pathbuilder Funds’ risk range. The Sub-Fund is able to have an exposure of 33% to 73% of its assets to fixed interest securities (including cash gilts and global corporate bonds), primarily through indirect exposure which may be investment grade or sub-investment grade, and 24% to 64% to equities.