Generali Obligacje: Globalne Rynki Wschodzące
Debt sub-fund
Portfolio risk:
interface.minPayment100 PLN
-
* The results obtained may be reduced by the front-load fees and the taxes due.
Fund Characteristics
Umbrella
Generali Fundusze SFIO
Min. investment horizon
2 years
Min. initial payment
institutional Clients: 1 000 PLN
individuals: the equivalent of 40 000 euro
individuals: the equivalent of 40 000 euro
Min. next payment
100 PLN
Investment Policy
- The sub-fund invests mainly in government bonds issued by developing countries, denominated primarily in local currencies of those currencies and in currencies of developed countries.
- Investments into derivatives and ETFs are possible.
- The rules and investment limitations for closed-end investment funds apply.
The sub-fund also has the possibility of investing funds in investment categories other than the ones defined above. A full description of the investment policy is set out in the Fund’s articles of association which are available at www.generali-investments.pl, tab: Documents.
Investor profile
The sub-fund is addressed to investors who:
- intend to invest their financial surplus in the sub-fund of treasury bonds issued by developing countries throughout the world and from Central and Eastern Europe,
- accept moderate investment risk,
- whose investment horizon is at least 2 years.
Subfund manager
Daniel Wesołowski
Inception date
2018-01-26
Max. front-load fee
2%
Max. management fee
2%
Bank account number
PL30188000090000001301522000
Currently charged management fee
1,5%
Useful materials