The fund actively manages a portfolio of equity and fixed income ETFs. The fund targets a global allocation of 60% equity and 40% fixed income securities. In selecting these securities, the portfolio will emphasize capital growth potential. TOCM may contain ETFs managed by TD Asset Management Inc. (TDAM), as well as invest in other income-producing securities directly, and may use derivatives to achieve its intended exposure. TOCM is a part of TDAMs asset allocation suite, sibling fund TOCA is 90% invested in equities while TOCC is 30% invested in equities.