The CI Global Minimized Downside Volatility Fund is an investment fund designed to offer investors exposure to global equity markets while aiming to reduce overall portfolio volatility. This fund employs a strategic approach to minimize downside risk by investing in equities that exhibit lower volatility, providing potentially smoother returns through various market cycles. It seeks to achieve a balance between growth and risk management by diversifying across different regions and sectors, which can include technology, healthcare, and consumer goods, among others. This diversified strategy helps mitigate risks associated with individual market fluctuations and economic downturns. Through active management, the fund adjusts its allocations based on prevailing market conditions to optimize performance while maintaining its primary objective of downside risk minimization. The CI Global Minimized Downside Volatility Fund is particularly significant in the market for investors who are risk-averse and prioritize capital preservation along with moderate growth, offering a measure of safety in turbulent market environments.