Global Model Portfolio

Edify Global Cautious

The Edify Global Cautious aims to provide stable income and a high level of capital stability. The probability of capital loss
over the medium to long term is low. The portfolio consists primarily of income orientated assets with a below average
exposure to equities.

Primary Benchmark

Cautious Benchmark

Return Horizon

At least 3 years

Risk Rating

Cautious

Regulation 28 Compliant

No

Underlying TER (ex VAT)

0.46%

Maximum Equity

35%

Fund Performance

Fund Allocation