The Funds strategy aims to generate consistent returns and preserve capital for its clients with focus on the movements and volatility of the fixed income markets.
The Fund will strive to attain its investment objective by investing primarily in listed debt securities on a short term basis.
Depending on market conditions, the Fund may also invest in cash or money market instruments. The Funds investments will not be restricted to a geographical location or to any particular market or industry.
The Fund may use financial derivative techniques and instruments for efficient portfolio management. In addition, the Fund may hedge its currency exposure by entering into futures, options, derivatives, and inter-bank foreign exchange transactions, including short sales and option writing strategies.
Authorised and regulated by the Financial Conduct Authority
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