BT Clasic is an open-end investment fund mostly for fixed income financial instruments, a maximum level of 20% of assets being invested through the Bucharest Stock Exchange and Rasdaq or other financial instruments.
The stock exchange is used in order to optimize medium and long term revenues for our customers.
The open-end fund is a product that is addressed to our low risk profile customers, especially due to the higher level of fixed income financial instruments with obvious low risk. We invite you to invest in instruments such as: bonds, treasury bills or deposits as well as stock exchange. Investments are made in such a way that the risks associated with them are low and yet if the capital market grows it will allow a better performance of the open-end fund. It must be known before investing that a decline of the stock exchange will have a negative effect on the investment fund. Nevertheless, judging by the range of open-end funds offered by BT Asset Management we consider that BT Clasic is a low risk fund which may provide higher returns during the increase of BSE and Rasdaq.
In conditiile in care piata actiunilor listate prezinta cresteri semnificative, expunerea fata de piata bursiera permite optimizarea performantei generale a fondului. In momentele de scadere a cotatiilor actiunilor din bursa este indicat sa constientizam legatura dintre acest fenomen si evolutia ulterioara a fondului. Cu toate acestea insa, luand in considerare oferta de produse cu risc a BT Asset Management putem concluziona ca BT Clasic este un produs cu nivel de risc scazut care poate in acelasi timp crea posibilitatea unor randamente superioare in momentele de crestere ale BVB sau Rasdaq.
It must be remembered that investment in fund units represents an opportunity for earnings as well as an assumed risk. Past gains do not represent a guarantee of future performance.
The funds administered by BT Asset Management S.A.I. S.A. are targeted towards both individual customers and companies, Romanian and foreign who do not have sufficient information to make a diversified portfolio that can reduce the risks present in operating on capital markets. The advantages of investing in our funds are the quality services we offer to our clients and our diversified portfolio that reduces the risks present in operating on capital markets and maximizes profits.
Advantages:
Offers stability because of the low risk involved.
Higher revenues due to stock exchange exposure.
Differential levels of taxation for earnings depending on the period of ownership.
Costs:
Purchasing fee: 0%
Redemption fee: 1% if the period of ownership <=90 days 0% if the period of ownership > 90 days
Management fee: 0.15%/month - this fee is included in the value of the fund unit
The open end investment fund BT Obligatiuni is registered under Nr.Reg.CNVM. CSC06FDIR/120021/09.06.2005, authorization CNVM Decision Nr. 1735/09.06.2005, with the code ISIN ROFDIN0000Z4.
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