The fund aims for stable monthly cash distributions and long-term returns by investing in dividend-paying securities of companies with a focus on Core sectors. These may include consumer, financials, industrials, information technology and other sectors which the fund adviser believes will benefit from the positive fundamentals underpinning growth in the US economy. Although the funds portfolio aims for at least a 75% composition of companies operating within these Core sectors, there are no strict restrictions placed with respect to the securities allocated among the sectors and may thus vary from time to time.