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  5. Premium DynamicTB


Premium DynamicTB

Wherever it is worth to invest
The fund is only available for premium clients

Výnos z viacerých zdrojov

Achieves return from
several strategies
and approaches

Výnos z úspechu svetových firiem

Make money on the success of global companies

Pre úspešných

Protect your investment from
extreme declines

Basic information

Fund parameters

Fund size
1,2 mil. € i
Expected annual return
5,7 to 7,2 % i
Minimum investment period
9 years i
Summary risk indicator
4 / 7 i
Entry fee
0 % i
Fund management fee
1,08 % i
Fund creation date

Introduction of the fund

Made for the successful. The fund´s strategy was originally available only to private banking clients. It is still focused on achieving return.

Part of the fund is constantly invested in equities. As a result, the fund will gain the potential to keep the real value of your money in the long term. The maximum share of equities in the fund is 95 %.

It is always ready to respond to changes by actively changing its setup depending on the current market situation.

A special investment strategy protects the fund from extreme declines in extremely negative periods.


Fund performance

The presented performances reflect the past, they do not represent an estimate of future development. They take into account costs and fees that are paid from the fund's assets. Other fees that could be applied to the investment, its transfer or redemption are not included.

Select the fund performance period

Fund performance chart

Fund name Performance i Performance p.a. i
Premium DynamicTB - % 0 %

You can view the performance of the fund since its opening on 1.8.2023 by changing the column graph of the fund's performance to a line graph and entering the indicated fund opening date.

Composition of the fund

Fund composition chart i

Description of the fund's strategy

Investment strategy of Premium DynamicTB is built on several pillars. The fund invests in equities, bonds or alternative investments (commodities, real estate, currencies), from which it selects the currently fastest growing assets. Part of the fund is constantly focused on equities of global companies, which are the main source of return. A special investment strategy protects the investor from extreme declines.

The largest investments in the fund

TAM - Private Growth 2 98,7 %
- 0 %
- 0 %
- 0 %
- 0 %

Also included in the fund

Monthly report (SK)

Want to know more about the fund?
See a monthly report.

Open a monthly report
Podrobnejšie informácie o fonde



Investičný citát

"I don't want a lot of good investments, I want an excellent one."

Philip Arthur Fisher,
american equity investor


How and where to open Investment savingsTB in this fund?

How and where to make lump sum investment in this fund?

The fund is only available for premium clients.


Need more information?
Leave us your phone number and we will call you.


This is a marketing notice. Before you make any investment decision, see the statute, sales prospectus and document with key information of the
mutual fund, which are available in the branches of Tatra banka, a.s., in the Slovak language. Investing in a mutual fund is also associated with risk, and past returns are not a guarantee of future returns. The used expected return of the investment represents the median realistic estimated return by the management company Tatra Asset Management, správ. spol., a. s., both on the basis of the assumed composition of the fund, as well as on the basis of the estimated tenyear return of individual asset classes in which the fund can invest, without taking into account the future tax burden. The expected return is after deducting ongoing fees in accordance with the mutual fund's key information document. 

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