The fund actively and primarily invests in a portfolio of investment-grade corporate debt securities from developed markets including US, Canada, and Europe. In seeking to maximize total returns, the fund may also hold other debt instruments such as government bonds and high-yield corporate debt provided that it will not exceed 20% of the funds NAV. Allocation and maturity is at the discretion of the manager specially during sluggish market periods. The fund is designed for investors with a low risk appetite who are seeking steady cash flow from a diversified portfolio delivering efficient exposure to the potential of developed corporate debt obligations.