The aim of the Fund is to provide, over periods of five consecutive years beginning at the point of investment, a return on investors investment through an actively managed portfolio, whilst also maintaining a risk profile of 12% or more as measured by volatility of the Fund’s returns, converted into an annual rate, over a five-year period. The Fund also aims to invest in a manner consistent with the principles of environmental, social and governance (“ESG”) investing. In seeking to achieve its investment objective, the Fund will seek to invest indirectly (i.e. through other investments) in a variety of asset classes globally, including equity securities, equity-related securities (i.e. other investments whose value is related to equities), fixed income securities (such as corporate bonds and government bonds), fixed income-related securities (i.e. other investments whose value is related to debt), and, directly or indirectly, in cash and assets that can be turned into cash quickly.