Andmed seisuga: 22.12.2024 07:33 (GMT+2)

Rietumu Asset Management Fund–Fixed Income Investment Grade USD (03.10.2022)

 

RAMIGUFR  |  ISIN LV0000400901

The Subfund provides an opportunity for the Investor to achieve relatively stable increase in the value of invested assets over the long term. The Subfund assets are invested primarily in relatively high-quality debt securities with investment grade credit rating. The investment horizon of the potential Investor is from mid-term to long-term, more than two years, and the risk tolerance is moderate. The Subfund Investors can be private individuals or legal entities.

 

Subfund currency: US dollars (USD)

Type: Open-ended mutual fund

Category: Fixed income fund

Subscription fee: 0.20%

Redemption fee: 0.00%

Kaubeldavad väärtpaberid

Aktsiad
Võlakirjad
Fondid

Turuinfo

Statistika
Kauplemine
Indeksid
Oksjonid

Turureeglid

Reeglid ja hinnad
Järelevalve

Alusta siit

Ettevõttele
Investorile
Liikmetele
First North turu nõustajatele

Uudised

Nasdaqi uudised
Ettevõtete uudised
Kalender

Meist

Ettevõttest
Kontorid