The fund aims for income and capital growth by actively investing in stocks from North American and other developed market countries. The portfolio is a mix of global equity securities comprised of approximately 97% equities and 3% cryptocurrencies. At least 10% of the funds assets are invested in Fidelity funds. The portfolio managers are responsible for the selection of underlying funds with various target styles, allowing a multi-manager approach. The portfolio is rebalanced annually. The portfolio managers have full discretion to make buy, sell, or hold decisions at any time.