Raiffeisen Global Bond is established on 20.06.1988. The fund invests mainly in bonds from North American, European or Asian issuers. The fund is actively managed, with the entire maturity curve taken into consideration. This investment fund is suitable for income-oriented investors who are seeking to realize interest income and price gains in equal measure.
As Raiffeisen Global Bonds invests mainly in bonds, the value of the units can be affected especially by interest rate and exchange rate fluctuations. From an investment horizon of 3 years, the fund is ideal for investors who wish to take advantage of better earnings opportunities and accept some degree of currency risk.
|Subscription fee when the investment amounts up to
€ 200 000
|Subscription fee when the investment amounts above
€ 200 000,01
|Redemption fee||there are no fees|
For more information, please visit the Raiffeisen Capital Management website at:
Investing in mutual funds involves certain risks. The value of the shares and the income from them may go down. Profit is not guaranteed and there is a risk for investors may not recover the full amount of money. Investing in Mutual Funds is not guaranteed by the Guarantee Fund, established by the State or any other warranty. Future performance of the contract funds are not necessarily associated with results from previous periods.
The presented information should not be considered advice for investing in financial instruments, including units of mutual funds, offered by Raiffeisen Asset Management (Bulgaria). It is recommended for investors to first familiarize themselves with the prospectuses of the funds and the rules for Mutual funds before taking any investment decisions. The full prospectus and additional information for the funds can be received in any of the offices of Raiffeisenbank (Bulgaria) as well as on the website of RAM www.ram.bg.