When investing in Raiffeisen Asset Management’s Mutual funds, the corporate clients will benefit from high security, combined with the opportunity to realize a better yield compared to that of the traditional products – deposits and current accounts.
The liquidity of the Mutual funds allows flexibility and efficiency in managing the cash flows of the companies.
Investment in Mutual funds is not bound by terms. The management company publishes the NAV (net asset value) per unit on a daily basis. NAV per unit is the value of one unit of the fund. The clients have constant access to their assets and the ability to realize the yield at the moment of the redemption.
The capital gains realized from the purchase/redemption of units of local and foreign mutual funds are not subject to tax according to the Bulgarian Law for physical persons and legal entities as well.