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Risks
Default risk
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Volatility
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Selling difficulty
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Stress test
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Country risks
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Other risks
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About
This Fund strives to deliver an income yield that surpasses the FTSE All Share (Gross Total Return) Index by at least 50%. It also aims to grow the initial investment over time. A minimum of 50% of the portfolio will be committed to equities and related securities of companies primarily based, incorporated, or conducting substantial business in the United Kingdom, including those listed on UK exchanges. The Fund maintains broad flexibility, not imposing constraints on the size or industry of the companies it invests in. To boost the income generated from its core holdings, the Fund strategically utilizes derivatives, including instruments like covered call options. This is an actively managed fund, operating independently without a specific benchmark.