To maximise the total return, whether through income or capital gains by investing in medium to high-grade US dollar-denominated debt securities.
This Fund is rated AA-f for credit risk and S2 for volatility by Standard & Poor’s. The credit rating indicates very strong protection against losses from credit defaults. The S2 volatility rating indicates moderate sensitivity to changing market conditions. These funds possess an aggregate level of risk that is less than or equal to that of a portfolio comprising government securities maturing within three to seven years and denominated in the base currency of the Fund.
Moderate risk/Moderate return
USD 10,000
Quarterly Dividend
0.50%
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