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IPOPEMA Benefit 3 FIZAN

Fund name Ipopema Benefit 3 FIZAN
Valuation date 31.10.2024
Valuation PLN 149.21
  1 month YTD 1 year 3 years
RoR* 0.95% 6.74% 8.59% 23.09%

Source: (ipopematfi.pl)

Investment Policy: the Fund invests primarily in private debt bonds issued by companies in the financial sector whose main business is lending, acquiring receivables and providing factoring and leasing services. The Fund will provide financing only to those entities whose business model and service offering will adequately safeguard the interests of the Fund’s Participants.

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