The fund-of-funds seeks long-term capital growth by investing in ETFs that provide exposure to equity and fixed income securities from around the world. The portfolio allocates its assets across mainly between equity funds consisting of about 70% and, to a lesser extent, in fixed income ETFs comprising about 30%. A significant portion of investments may be in securities associated to the issuer or fund manager, including other ETFs. The fund may also invest directly in equity and fixed income securities or indirectly through derivatives. As an actively managed fund, the portfolio managers has full discretion to make investment decisions at any time, including reconstitution and rebalance.