Purpose of the fund: to increase the value of capital invested. Term of investment: 4-6 years. Fund risk level: medium/high. Type of financial instruments: bonds denominated in US Dollars and Euro, residual investment in UCITs. The portfolio duration will average 4-7 years. Category of issuers: sovereign issuers, supranational bodies and, on an ancillary basis, private companies. Geographical investment areas: mainly the emerging markets of South America and Eastern Europe.