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Andreas Zoellinger manages this quality-focused equity-income strategy with the aim of delivering at least 110% of the yield of the benchmark. He concentrates on dividend reliability through detailed fundamental company analysis and expects the fund to prove resilient in falling markets. The manager adopts a flexible approach and sector allocations are dynamic over time depending on where the best opportunities lie. He constructs a high conviction portfolio, consisting of 35 to 50 companies and, historically, the fund has had a tilt towards large-cap companies and a smaller exposure to mid-caps. This willingness to react to changing conditions and a proven record of stock-picking gives us confidence in Zoellinger.
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