6% Multi-Assets UCITS
The Multi-Assets fund seeks to achieve a positive annual total return by investing mainly in real estate, commodity and infrastructure assets. also underlying assets that have historically exhibited little correlation to global bond and equity markets. The Fund is managed on a conservative basis with the objective of capital preservation.
The strategy invests principally in real estate , commodity and hedge fund assets but also has provision for limited allocations into specialist asset classes and periodically into specific investment themes, It may also invest in equities, bonds and similar debt instruments issued by sovereign governments and corporate entities.