The Subfund invests assets first of all in equities and fixed-income securities. Equities account for 30% to 70% of the Subfund’s assets, where not less than 20% assets are invested in equities of companies comprising the WIG20 index, including open positions with WIG20 forwards. The remaining money is invested in financial instruments other than equities, in particular debt securities issued by the State Treasury and other issuers with high creditworthiness. The Subfund invests mainly on the Polish market and to a limited extent can acquire equities of companies listed on foreign stock exchanges.
The benchmark for assessing how effective the investment in participation units is, is an index, which is made up in 50% from percentage change of WIG Warsaw Stock Exchange Index, in 35% from percentage change of Citigroup Poland Government Bond Index All Maturities Local Terms and in 15% of the WIBID6M interbank deposit interest rate from the first Valuation Day in the month, less the value of management fee charged by the Company.
The Subfund is targeted at investors interested in investment products with a strong share of equities in the portfolio, especially looking for medium or long-term saving.
| Date | PLN | change | |
|---|---|---|---|
| 17.05.12 | 144.65 | -1.38% | |
| 16.05.12 | 146.67 | 0.12% | |
| 15.05.12 | 146.50 | -0.54% | |
| 14.05.12 | 147.30 | -1.18% | |
| 11.05.12 | 149.06 | -0.19% | |
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