VIG Emerging Europe Bond Fund

Foreign currency series

Befektetési Politika
About Fund

The fund's investment objective is to provide investors with capital appreciation by investing in the sovereign- and quasi-sovereign bond market of Emerging European countries. The fund has no rating constraints, the fund has a permission to invest in any kind of issuer without limitation on its long-term foreign currency debt rating. The fund aims to reach the highest capital gain with rational risk taking. The fund primarily invests on the sovereign- and quasi-sovereign bond market of Emerging European countries denominated in foreign currency, but holds Hungarian local currency, long- and short-term bonds with diversification and liquidity management purposes. The fund may also invest in mortgage backed securities, and short- and long-term, fixed or floating securities of other financial institutions, municipalities or other business corporations, structured and convertible bonds. The fund's general risk level and the measure of the deviation from the target weights are determined on the basis of a regular market analysis and situational analysis relating to four main aspects (fundamentals, valuation levels, market sentiment, technical factors).

The core part of the fund consists of the foreign currency denominated, sovereign and quasi-sovereign bonds of Central and Eastern Europe (Hungary, Croatia, Poland, Romania, Slovakia, Ukraine), Southeast Europe (Serbia, Turkey), Baltic states(Lithuania, Latvia) and the countries of the Common wealth of Independent States (Azerbaijan, Belarus, Kazakhstan, Russia, Georgia, Armenia) and also holds Hungarian local currency bonds with diversification and liquidity management purposes. In case of attractive market conditions (e.g. possible upgrade of an issuer's long-term foreign currency debt rating, change of the yield curve, market mispricing, etc.) the fund may invest in bonds of issuers not listed above. The fund does not intend to invest more than 25% of its assets in a single country. The target weight for the fund's fixed income investments in the above listed countries (target countries) is 95%. The aimed risk profile of the fund is intermediate. We do not use constraints on foreign currency debt ratings. The fund may only conclude derivative transactions for the purpose of hedging or ensuring an efficient portfolio structure. The fund may also hold unleveraged debt-type collective investments linked to derivative indexes. The fund also has the option of taking on a substantial currency exposure, which will ordinarily be fully hedged to the target currency (USD), although depending on market circumstances the fund may even have an open currency position. The investment policy of the fund changed on the 30th of December, 2016. Since then the fund has no benchmark, and fund performance before the change is not applicable.

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Kockázati besorolás
Yield-risk profil
Lower risk
Higher risk
Expected lower yield
Expected higher yield


Net Yield Performance of the Fund
12 month
Befektetési jegy
3.79 %
4.76 %
-34.14 %
-6.41 %
4.40 %
10.41 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
Liquidity, flexibility

Javasolt minimális befektetési időtáv: 4 years.
You can also access the amount invested at the current daily exchange rate at any time during the proposed investment period. You can buy, transfer or redeem the security at any time at this rate using the VIG online Securities Account.

You can find out about the settlement dates here:
Settlement period

Vitaliy Poplavets

Portfolio Managers: Vitaliy Poplavets , Szűcs Zoltán

More Information

Általános információk

VIG Befektetési Alapkezelő Magyarország Zrt.
Unicredit Bank Hungary Zrt.
Vezető forgalmazó
VIG Befektetési Alapkezelő Magyarország Zrt.
Referencia index összetétele
Az alapnak nincs benchmarkja
Kockázati besorolás
Kockázati besorolás (I sorozat)
Javasolt minimális befektetési időtáv
4 years
Javasolt minimális befektetési időtáv (I sorozat)
4 years
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From Tuesday to Thursday 8-16h
Monday 8-20h
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