The fund actively invests in a portfolio of government and corporate debt securities from both developed and emerging markets around the world. The advisor uses fundamental credit research in selecting securities that are known to offer high risk adjusted returns, and utilizes a tactical asset allocation investment strategy in weighting them. In seeking to manage risk, the fund may also hold derivatives including futures, contracts, and credit default swaps. Since the fund is actively managed, allocation and maturity is at the discretion of the manager specially during sluggish market periods. The fund is designed for investors who are seeking steady cash flow from a diversified portfolio delivering efficient exposure to the potential of global debt securities.