The fund aims to offer a high level of income, together with relative capital stability. It aims to pay out a high regular income without putting the investor’s money at undue risk. It aims to achieve higher than money market returns by taking on marginally more risk.
The fund invests in local interest-bearing investments including fixed and floating rate bonds and money market instruments. The average duration of the fund will always be less than two years, which contributes to its relative capital stability. Derivatives may be used for risk management purposes.