About the Subfund

The Subfund’s main types of investments are Debt Instruments and deposits; however, their share in the assets may not be lower than 70% of the Subfund’s Net Asset Value. The Subfund is actively managed and invests its assets mainly in Debt Instruments and financial instruments whose maturity or interest period does not exceed one year, provided that at least 10% of the Subfund’s Net Asset Value is parked in Debt Instruments and other financial instruments whose maturity is at least two years. The total value of the Subfund’s investments in Debt Instruments issued by companies may not be lower than 20% of the Subfund’s asset value, excluding Debt Instruments guaranteed by the State Treasury or the National Bank of Poland.

Investing involves risk. Please read KID  and the Fund's Prospectus before making an investment. The historical performance presented is not a guarantee for similar investment results in the future. The full content of the legal note.

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