Most part of investments is formed by Slovak bonds.
Money is always at your disposal and you can leave the fund with no exit charges after three years in case of a single investment and after five years in case of the Saving programme PLUS.
The fund successfully operates on the market for over 10 years and it is the fund with the greatest property value among bond funds in Slovakia.
More secure government bonds of the countries of the Eurozone significantly represent the fund. Fund assets are formed predominantly by money and bond investments, which contributes to fund´s stability.
Enhance your possibilities of secure investment and treat your euros with a PLUS!
The fund invests primarily into safer:
- Government bonds;
- State treasury bills;
- Bonds issued by companies with a rating in the investment range; and
- Mortgage bonds.
The recommended investment horizon is 3 years, and sticking to it is crucial in order to achieve the yield.
Terms and conditions
Invest in Euro bond PLUS fundTB:
There is a different level of risk that is connected with investment into mutual fund and it depends on specific investment strategy of mutual fund. The value of investment into mutual fund as well as return from it increases or decreases and investor does not have to get back all invested amount. Statute, prospectus, simplified prospectus or key information document are available especially at Tatra banka's branches („Bank“) in Slovak language. Assets are invested primarily into government bonds and money market instruments. Official name of above presented fund is: Tatra Asset Management, správ. spol., a. s., euro dlhopisový plus o.p.f. Fund is developed and managed by Tatra Asset Management, správ. spol. a.s., with its registered office at Hodžovo nám. 3, 811 06 Bratislava („Company“). Due to existence of risk and uncertainty concerning future results Bank, Company neither any other third person don´t guarantee, that presented investment goals will be achieved and investment policy will achieve awaited performance, and Bank, Company, neither any other third person don´t take responsibility for situation that these investment goals or awaited performance will not be achieved. Achieving of investment goals can be influenced mainly by interest, credit, and currency risk, also by liquidity risk, political and legislative risk. This document presents marketing announcement of Bank according to the Act on Securities and Investment Services, No. 566/2001 Coll. as amended, it doesn´t present personal recommendation neither investment advisory.
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