Orbit
Typically, the fund will have a significant bias towards investments with fixed interest strategies, with a maximum of 25% investment in or exposure to company shares.
Typically, the fund will have a significant bias towards investments with fixed interest strategies, with a maximum of 25% investment in or exposure to company shares.
The portfolio will hold at least 55% fixed income securities and company shares with a bias towards shares, and may gain exposure of up to 21% in alternatives.
The portfolio will hold at least 70% fixed income securities and company shares, and may gain exposure of up to 30% in alternatives