gptkb:Absolute_Return_Fund
|
lower correlation to market indices
|
gptkb:L_2060_Fund
|
conservative (as 2060 approaches)
|
gptkb:Hybrid_Bond
|
Between Debt and Equity
|
gptkb:AIF_Category_III
|
high risk
|
gptkb:Lifecycle_Funds
|
Decreases risk as target date approaches
|
gptkb:L_2065_Fund
|
aggressive (early years)
|
gptkb:L_2040_Fund
|
moderate to high
|
gptkb:Sustainable_Bond
|
Similar to conventional bonds
|
gptkb:Target_Date_Fund
|
conservative near target date
|
gptkb:L_2060_Fund
|
aggressive (early years)
|
gptkb:Infrastructure_Debt_Funds
|
lower risk compared to equity
|
gptkb:Hedge_Funds
|
Can be high risk.
|
gptkb:Global_Macro_Fund
|
High
|
gptkb:L_2050_Fund
|
aggressive (early years)
|
gptkb:Bharat_Bond_ETF
|
Low to Moderate
|
gptkb:Amanah_Saham_Wawasan_2020
|
low to moderate
|
gptkb:L_2065_Fund
|
conservative (approaching 2065)
|
gptkb:L_2050_Fund
|
conservative (approaching 2050)
|
gptkb:Target_Date_Fund
|
aggressive far from target date
|
gptkb:L_2055_Fund
|
aggressive (early years)
|