VIG MoneyMaxx Emerging Market Total Return Fund

HUF Retail series

Befektetési Politika
About Fund

The fund's aim is to assemble an investment portfolio for its investors that is comprised of both Hungarian and international moneyand capital-market instruments, which the fund can optimise through ongoing dynamic asset allocation in order to attain the highest possible yield. The fund is a 'total-return fund', which means that instead of concentrating on just one subsector of the money or capital market, at any given moment it focuses its investments on the area that holds the promise of the highest possible return. Accordingly, the fund may hold government securities and discount treasury bills issued by the State Debt Management Centre (ÁKK) on behalf of the State of Hungary, as well as bonds issued by the National Bank of Hungary, and also bank and corporate bonds that are low risk but are nevertheless likely to earn a higher return than government securities.

Besides these the fund's portfolio may also contain shares listed on the domestic stock exchange and the bourses of OECD countries, as well as the government securities, bank and corporate bonds of OECD countries. The fund does not follow a fixed benchmark, and does not adhere to a permanent ratio of shares to bonds, but aims to constantly change this ratio within a broad range; indeed, it is also prepared to take on currency risk (just as international bond/equity funds tend to) through the purchase of international government securities and equities. At the same time, the fund maintains the option to hedge currency risks.

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Kockázati besorolás
Yield-risk profil
Lower risk
Higher risk
1
2
3
4
5
6
7
Expected lower yield
Expected higher yield

Hozamlehetőség

Net Yield Performance of the Fund
Időtáv
12 month
2023.year
2022.year
2021.year
2020.year
2019.year
Befektetési jegy
12.99 %
22.30 %
-19.52 %
-4.33 %
3.82 %
2.89 %
Benchmark
9.08 %
9.93 %
3.04 %
-0.60 %
0.37 %
0.23 %
Rugalmasság
Liquidity, flexibility

Javasolt minimális befektetési időtáv: 3 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

More Information

Általános információk

Alapkezelő
VIG Befektetési Alapkezelő Magyarország Zrt.
Letétkezelő
Unicredit Bank Hungary Zrt.
Vezető forgalmazó
VIG Befektetési Alapkezelő Magyarország Zrt.
Referencia index összetétele
100% Constans ref. index (HUF) + 7%
Kockázati besorolás
Moderate
Kockázati besorolás (I sorozat)
Moderate
Kockázati besorolás (P sorozat)
Moderate
Javasolt minimális befektetési időtáv
3 years
Javasolt minimális befektetési időtáv (I sorozat)
3 years
Javasolt minimális befektetési időtáv (P sorozat)
3 years
Always at your disposal.
06-1-477-4814
From Tuesday to Thursday 8-16h
Monday 8-20h
06-1-477-4814
international number