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Corporate Debt Rentier FIZ Fund

Valuation date 30.06.2024
Valuation PLN 135,13
  1 month YTD 1 year 3 years
RoR* 0.36% 3.85% 8.86% 26.05%

Source: (Noble Funds TFI)

Investment policy: the Fund invests primarily in private debt instruments issued by companies. The Fund does not target specific industries, markets, or geographical areas. In order to lower investment risk and manage the portfolio efficiently, the fund may use investment techniques involving derivatives. The Fund’s investments in debt securities are made based on, among other things, analyses of the creditworthiness of issuers and their guarantors, analyses of macroeconomic trends, projected changes in the shape of yield curves and the level of market interest rates or the ratio of expected return to investment risk.

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