
Description The fund objective is to achieve above-average returns in the long term while observing the principle of risk diversification through investments of at least two thirds of the assets in inflation-indexed fixed-interest or floating-rate securities either issued or guaranteed by issuers from so-called emerging market countries and/or denominated in the currency of anemerging market country or which are economically linked to currencies of emerging market countries. To view the detailed information, you need to SUBSCRIBE with us. |
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