The fund aims to achieve a steady income for investors through investments in securities, including those with embedded derivative instruments, and money market instruments.
Fund Exposure
The fund intends to invest more than 35% of its assets in securities and/or money market instruments issued by member states, local authorities, or international organizations of a public-law nature. Additionally, derivative instruments can be used for both investment purposes and hedging strategies, with the possibility of holding up to 100% of the fund's assets in these instruments.
Risks
Investors should be aware that this fund may not be suitable for those looking to withdraw their funds within a 2-year timeframe, as the management company reserves the right to suspend redemptions in exceptional circumstances. Additionally, the value of the fund's assets may fluctuate due to market conditions and the use of derivative instruments.