This fund is geared towards generating regular dividend income and long term capital appreciation by investing primarily in a combination of common stock and other equity securities, debt securities and convertible securities. It adopts a "three-sleeve" approach, with the core holdings invested primarily in a portfolio consisting of US high yield bonds, US convertible bonds, and US equities or equity securities. It aims to capture multiple sources of income that includes participation in the upside potential of equities at a potentially lower level of volatility than pure equity investment.