THE OBJECTIVE OF THE INVESTMENT POLICY IS TO ACHIEVE CAPITAL GROWTH
The Fund invests from 70% to 100% of its total assets primarily in corporate bonds and other non-treasury securities denominated in PLN as well as investment fund units with exposure to both investment grade and high yield credit market in the euro zone or the US.
The situation in the financial markets has a moderate impact on the value of the fund units. Due to a small degree of currency exchange rate risk, interest rate risk, and credit risk, the overall risk of fund unit value dropping in the medium- and long-term perspective is significantly limited.A detailed description of the fund's investment policy and investment risk can be found in the Fund Prospectus. All regulatory documents are available in Polish.