The fund actively manages a portfolio of equity and fixed income ETFs. The fund targets a global allocation of 90% equity and 10% fixed income securities. In selecting these securities, the portfolio will emphasize income-generating potential. TOCC may contain ETFs managed by TD Asset Management Inc. (TDAM), as well as invest in other income-producing securities directly, and use derivatives to achieve its intended exposure. TOCA is a part of TDAMs asset allocation suite, sibling fund TOCM is 60% invested in equities while TOCC is 30% invested in equities.