This is a fund for investors who would like to receive stable high returns in medium and long term with the balanced portfolio structure by investing in capital market instruments. Shares are chosen from companies that have growth potential and depth and free of speculations. The aim is maximum return compared to the market conditions.
It is capitalized on equities at the rate of 35 %-65%, Government Bonds – Treasury Bills at 0%-30%, Reverse Repo return investment tools at 20%-50%.
This is a mutual fund for investors who would like to benefit from the long term high return potential of equities.
6 Months
500 shares and multiples.
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