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This is aimed at investors looking for a higher risk / reward
investment approach. The benchmark asset allocation of the Fund
is to mirror the CF Arch cru Portfolio Fund and then to introduce
gearing, although we limit this typically to 25% of the Fund’s
assets. This borrowing aims to increase returns but if the Fund’s
assets fall in value then higher losses will result. Past performance
is not a guide to future performance, the value of investments
can fall as well as rise.
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