The fund aims for both income capital appreciation. The fund targets a long-term strategic allocation of 20/80 in equity and fixed income securities respectively. The fund invests in Vanguard ETFs that provides global, broad-based exposure to equity and fixed income markets. The portfolio may be reconstituted and rebalanced at the discretion of the Sub-advisor. The funds sibling funds targets the following percentage of equity exposure: VGRO (80%), VBAL (60%), and VCNS (40%).