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| Managed funds selected will be chosen primarily for their long-term potential and when appropriate may include bond funds. This policy envisages that exposure to equities will normally exceed 75% and involves a higher degree of risk than a balanced fund or a bond fund. The value of investments in this sub-fund is likely to reflect the above average volatility of the investments of the managed funds in which it is invested. | ||||||||||||||||||||||
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Copyright © 2001 Access Investment Management Ltd |
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