The investment objective of the Sub-Fund is to provide an attractive rate of return for investors, targeting a maximum volatility per annum of less than 8%. No guarantee can be given that the Sub-Fund's objective will be achieved and that investors will recover the amount of their initial investment. The investment strategy of the sub-fund is to invest a minimum of 75% of the net assets in units of other UCITS and/or for a maximum of 30% in units of other UCIs (including those established as Exchange Traded Funds). These will include equity funds, fixed income funds, mixed funds and money market funds. The Sub-Fund may also invest directly in equity and fixed income securities.