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вивчити найповнішу базу даних
900 000
облігацій у всьому світі
Більше 400
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80 000
акцій
116 000
ETF & Funds
відстежуйте свій портфель найефективнішим способом
The Fund’s Provider implements an investment strategy of active management. The fund’s policy is to invest funds primarily in money market instruments (deposits in credit institutions with a maturity of less than one year, bonds with a maturity/offer of less than one year, bonds with a variable coupon), in rights of claim under repo agreements, the subject of which are bonds, and in clearing participation certificates, by concluding repo agreements, as well as investing in other assets. The index, in relation to which the Provider evaluates its effectiveness is RUONIA.