The Sub-Fund's investment objective is to achieve medium term capital growth by investing directly in a diversified portfolio of debt securities of any kind, corporates, governments, investment grade and high yield bonds, fixed or floating debt securities, inflation protected notes and/or money markets instruments issued or guaranteed by sovereign, supranational and/or corporate issuers without any geographical restriction including emerging markets and emerging countries and/or indirectly through UCITS and/or UCIs including ETFs qualified as UCITS and/or UCIs (the “Target Funds”), investing primarily in the same asset classes as described above. Invested Target Fund may use over the counter (the “OTC”) complex derivate instruments provided that they are contracted with leading financial institutions specialized in this type of transactions.