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The Sub-fund’s investment philosophy is based on the belief that a fixed income portfolio built around a diversified set of actively managed positions has the potential to generate the most attractive information ratios over a full market cycle. By implementing a large number of low-correlated active positions, the strategy strives to reduce the risk of poor performance from any single active position. The Sub-fund will invest widely in global bond markets although investments in emerging market debt will range from 0% to 40% of the Sub-fund’s net assets and investments in bonds with investment grade rating will always represent at least 35% of the Sub-fund’s net assets. Decisions regarding country exposure ranges will be influenced by fundamental factors such as monetary and fiscal policy, the economic cycle, politics and valuations, as well as technical factors.
Name | Title | Since | Until |
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Not Disclosed | - | 2013 | Now |
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