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The investment objective of the Compartment is to generate returns of 4% per annum over cash rates in the medium term with a realized volatility of less than 5%. The main sources of return for the Compartment are expected to be credit risk, interest-rate risk and currency risk. There can be no assurance that the investment objective will be achieved. The Compartment will be invested in a diversified portfolio reflecting global opportunities across the entire fixed income universe.
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