Invest at the global level and get access to the funds of global administrators, constant positioning aimed at yielding revenue and wide asset diversification.
With this investment you will gain access to the funds of global administrators
The Fund is constantly positioned to yield revenue
Diversification into all key asset classes
Multiple global administrators bring wide diversification to your investment and synergy from several styles of portfolio administration and management.
Professional selection of the administrators and funds is carried out by applying a thorough process using quantitative and qualitative analysis.
Constant positioning to yield revenue
The Fund will be solidly invested in the stock, bond, commodity or real estate markets. Thanks to this you as an investor will not miss any significant growth periods.
The long-term share of stock investments in the Fund amounts to approximately 20%, with the share of alternative investments being about 15%. The rest is invested in bond and cash investments.
Wide diversification of assets
Investing into several asset classes is the key tool that helps to reduce the risk level of your portfolio.
The share of cash investments or bond investments in the Fund assets may reach up to 100%.
The share of stock investments in the Fund assets may reach a maximum of 40%.
The share of alternative investments in the Fund assets may reach a maximum of 20%.
The recommended investment horizon is 5 years at minimum.
Focus of the mutual fund
The Fund derives income from investments into:
- cash investments,
- bond investments,
- stock investments
- alternative investments aimed at yielding revenue from financial instruments with interest income,
- from the paid coupon bond investments,
- from the price movements of stock investments, alternative investments and bond investments,
- from the dividends of stock investments and alternative investments.