The fund is an actively managed fund that focuses mainly on reducing overall volatility while seeking stable monthly distributions and capital appreciation. The fund holds a diversified portfolio of North American large-cap securities from any sector and industry groups. Companies that meet the funds market-cap requirement are further evaluated using a proprietary analysis that uses a combination of quantitative and fundamental metrics in order to achieve lower portfolio volatility as compared to broader US or Canadian equity markets. Call options are then written at the fund managers discretion in an effort to generate additional returns. The fund is currency-hedged for CAD investors.