Features of the SCBRM1 Fund
- Diversified Portfolio: The SCBRM1 Fund includes a well-balanced mix of equities and fixed-income instruments. This diversification helps smooth out market fluctuations, offering more consistent performance across different market conditions.
- Growth Potential: The inclusion of equities in the portfolio allows the fund to benefit from market growth, giving it the potential to provide higher returns over the long term.
- Risk Management: With its allocation in fixed income securities, the SCBRM1 Fund aims to reduce overall portfolio volatility. The fund’s exposure to government bonds and other stable securities provides a buffer against market downturns.
- Professional Management: The fund is actively managed by a team of professional portfolio managers at SCB Asset Management, ensuring that the investment strategy is continually adjusted to align with market trends and economic conditions.
Target Investors
The SCBRM1 Fund is ideal for investors who:
- Seek a diversified portfolio with exposure to both equities and fixed-income securities.
- Have a medium- to long-term investment horizon and are looking for growth potential with controlled risk.
- Want access to both domestic and international markets, benefiting from the global investment opportunities.
- Are looking for a professionally managed fund that balances risk and return. shutdown123