
This fund strategically allocates its capital across a diverse array of investments, encompassing both equity and fixed-income securities, with a notable emphasis on dividend-paying stocks within its equity holdings. Typically, a minimum of 25% of its overall assets are dedicated to debt instruments, including bonds, notes, debentures, and various money market securities. Furthermore, the portfolio generally commits no less than a quarter of its total holdings to equity investments, primarily in the form of common and preferred shares.
Sector exposure data isn't available for this fund yet.
Holdings data isn't available for this fund yet.