Key elements of the fund's strategy include:
- Global Diversification: The UOB GARMF Fund invests in a variety of global markets, with a diversified approach that spans multiple regions, sectors, and asset classes. This global exposure helps mitigate the risks associated with individual markets.
- Multi-Strategy Approach: By utilizing a range of strategies, including equity investments, fixed income, and alternatives, the fund provides a more balanced risk-return profile.
- Risk Management: One of the key features of the UOB GARMF Fund is its active risk management process. The fund aims to mitigate risks through dynamic asset allocation and the use of hedging techniques when necessary.
- Despite these risks, the fund's diversified approach and active management are designed to smooth out volatility and generate consistent long-term returns. shutdown123