Capital Preservation: The investment of the Fund’s assets will ensure the preservation of capital.
Long term capital growth: Capital growth with the avoidance of excessive risk over the long term. Short term volatility will be tolerated if appropriate considering the asset class and comparable market index.
Return on investment: The attainment of the agreed investment performance deliverables against the accepted benchmarks over the investment period.
Liquidity: An adequate level of liquidity will be maintained to enable the Fund to meet its liabilities and obligations.
Diversification: The investment portfolio will remain diversified to minimize the associated risks across asset classes, sectors and stocks.