The Fund aims to achieve capital growth and income, net of charges, on a rolling five-year basis. The Fund is actively managed. This means the Investment Manager uses their expertise to pick investments to achieve the Fund’s objective. The Fund will invest directly or indirectly in order to gain exposure to a diversified portfolio of asset classes. In normal market conditions the Fund will have a greater than 50% exposure to alternative asset classes such as: private equity; infrastructure; currency; derivatives; absolute return strategy funds and multi-asset strategy funds.