The Fund aims to provide long-term income and capital growth through investment in a diversified and actively managed portfolio consisting of any combination of fixed income securities, convertible securities, equity securities, money market instruments, deposits and derivatives on an international basis. Normally, the maximum equity content will be limited to 75% of the Fund's net asset value.
The performance of years prior to 2017 was achieved under circumstances that may no longer apply as the investment policy was changed in November 2016.