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1 000 000
债券
80 234
股票
167 970
ETF & Funds
8万
指数
以最有效的方式跟踪您的投资组合
The funds Provider implements an active asset management strategy. The Fund's policy is long-term investment in shares traded on Russian stock exchanges, depositary receipts for shares (primary assets), and other assets. The selection of shares for inclusion in the Fund's assets is based on the following criteria: 1) issuers capitalization - at least 10 billion rubles; 2) liquidity level - the average daily trading volume over the last three months must exceed 5 million rubles. The Provider evaluates its effectiveness with Moscow Exchange Gross Total Return Index (MCFTR).