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ABLV Bank, AS 23 Elizabetes Street Riga, LV-1010, Latvia |
Tel: +371 6777 5222 Fax: +371 6777 5200 Client line: +371 6777 5555 E-mail: info@ablv.com www.ablv.com |
For performing operations in stock markets independently, a certain amount of knowledge, experience and free time are needed to explore the markets and make investment decisions.
For the majority of potential investors, the best solution is to have their funds managed by a professional. We believe that the most demanded and simplest way of such management is investing in funds.
ABLV investment funds enable you to place your funds under professional management and achieve diversification of financial risks.
Funds are managed by our subsidiary ABLV Asset Management, which ensures transparency: assets of holders of the investment fund shares are separated from assets of the managing company.

| Fund name | ABLV Emerging Markets Bond Fund | ABLV High Yield CIS Bond Fund | ABLV Global ETF Fund |
| Fund type | Government bond fund | Corporate bond fund | Stock fund |
| Target audience | Investors willing to receive higher return than deposit income, given moderate risk | Investors willing to receive much higher return than deposit income, given balanced risk | Investors willing to take risk in order to receive considerable return on investment |
| Fund currency | EUR, USD |
USD, RUB |
EUR, USD |
| Minimum investment amount | 1000 EUR or USD |
1000 USD or |
1000 EUR or USD |
| Description | Moderately conservative investments aimed at achieving long-term capital growth | Moderate investments aimed at achieving long-term capital growth | Moderately aggressive investments aimed at achieving considerable capital growth |
| Investment policy | Assets are invested in medium-term and long-term government and quasi-government debt instruments of developing countries in various regions of the world | Assets are invested in short-term and medium-term debt instruments, the performance under which is secured by corporations and financial institutions of the CIS states, as well as commercial companies of other countries, with a speculative credit rating or without a credit rating | Assets of the fund are invested in ETFs and other instruments traded on the US and European stock exchanges, which represent the value of stocks, as well as the value of particular sectors of economy of various countries, or in stocks of particular companies which have essential share in the main index of the chosen country |
| Recommended investment period | Not less than 1 year | Not less than 2 years | Not less than 1 year |
The advantages of investing in open-end investment funds are the following:
Investments in open-end investment funds are rather liquid, and if necessary we ensure withdrawal of assets within three working days.
We are ready to provide financing secured by your securities portfolio for the sake of increasing investment amount or for other purposes. As a more conservative way of investing that ensures stable interest income we recommend deposits with ABLV Bank.
