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696.27M
0.91%
Apr 21, 2009
The Company aims to provide a total return (with a combination of income and growth of capital), net of fees, over 5 year rolling periods. To achieve the objective, the Company will have exposure to a geographically diversified portfolio which will typically comprise at least 60% equities, and up to 40% in fixed income assets (which may include government and public securities), other alternative asset classes and cash. The composition of the Scheme Property as between equities and other asset classes, will vary over time within the above parameters, in response to the Investment Managers’ views of the economic and market environment.
Name | Title | Since | Until |
---|---|---|---|
Not Disclosed | - | 2009 | Now |
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