This fund is invested in the range of fixed income and debt securities including Bonds and Treasury Bills, Certificates of Deposits, fixed Deposits, etc. (formerly called the Laurence Paul Money Market fund).
Fixed Income Securities 70%
Cash and Cash Equivalents 30%
Objective & Investment Policy - Capital preservation with moderate income. Investments are made primarily to debt securities with the aim of achieving guaranteed return with steady growth. Ideal for most risk-averse investors.
Risk Tolerance - Conservative