Achieve a consistent level of return commensurate with a low risk strategy by investing in a diversified portfolio of short dated USD denominated corporate and government fixed income securities. The fund acts as a money market fund and provides daily liquidity.

The base currency of this fund is US Dollar.

NAV Repurchase Issue price Currency
1125.180 1125.180 1125.180 USD
Price As At : 07 May 2024
*All returns are calculated assuming dividends are reinvested.

Documents

Contact us

Talk to our investment advisors today.

Request a callback