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1 000 000
债券
80 234
股票
167 970
ETF & Funds
8万
指数
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The Funds Provider implements an active management strategy by investing in debt securities - bonds of Russian issuers, as well as rights of claim under repo transactions with various assets. The selection of bonds acquired as part of the fund's assets is carried out on the following criteria: 1) liquidity level - the issue volume must be at least 100 million rubles; 2) listing level on the Moscow Exchange - must be at least the third listing level, and for other exchanges of the Russian Federation or foreign exchanges, inclusion of the bond in the quotation list on the relevant exchange is necessary and sufficient. The indicator in relation to which the Provider evaluates its strategy effectiveness is the RUONIA (Ruble Overnight Index Average) rate.