Investors today need equity income more than ever, with a staggering 15 trillion dollars in bonds globally providing negative yields. During this prolonged period of market volatility, the strategy provides a unique solution blending income and growth opportunities, aiming to help investors to diversify and capture market upside while getting paid to wait for markets to recover when they are falling.
The fund aims to outperform the MSCI AC World (Net) Index (USD) with a dividend yield greater than that of the benchmark.