Seeking enhanced returns above cash with low volatility 

  • A diversified, dynamic and unconstrained multi-strategy Portfolio
  • Aims to enhance the risk/return profile of a growth portfolio
  • Target Returns* of Cash** EONIA +5.0 – 6.0% (annualised, gross of fees)
  • Expected Average Volatility* in normal market conditions of 7.5%

*The Target Return and Expected Average Volatility can be exceeded or undershot and should not be construed as an assurance or guarantee.
*The reference rate is Euro Overnight Index Average (EONIA). The target of EONIA +5.0 - 6.0% is annualised, gross of fees.
For complete information on the Fund’s investment objectives, strategy, risks, and limitations please review the Fund prospectus.

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