Variety is running theme within sector.

Investment Adviser, November, 2004

The Asset Allocation Global Neutral sector is a small world, as can be seen in the FT Fund Ratings table opposite. This is because a majority of the funds that are covered by Standard & Poor's are uncategorised, according to FTFR. The peer group is made up of just 10 funds spread across four different risk profiles. This is just one third of the funds in the Asset Allocation Global Neutral sector as defined by Standard & Poor's. Such a huge gap in terms of what makes up this sector could be better understood from the definition S&P and FTFR assign to these funds.

According to S&P, Asset Allocation Global Neutral funds invest in equities, fixed interest and money market securities such that the equity content always remains in the 30 per cent to 70 per cent...

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