Fund Diversification
The primary objective of the Fund is to adopt an absolute return approach, and therefore to allocate the assets of the Fund among a wide range of markets, securities and derivative instruments. The specific investment strategy that the Fund adopts may include investment in equity and debt securities, currencies, options, futures, options on futures and other derivative instruments negotiated in various capital markets.
The Fund may also allocate its assets among private investment vehicles, mutual funds or other accounts managed by portfolio managers who invest in a variety of financial markets. The Fund cannot guarantee that its investment objective will be achieved.