What are the advantages and risks?
An asset management strategy emphasis mainly on equities, traded on foreign and/or Bulgarian regulated markets, by non-cyclical sectors - consumer goods, healthcare (including pharmacy), utilities, telecommunications, real estate, oil and gas, and others. The Fund may also invest in exchange-traded funds (ETFs), which invest primarily in equities of companies in these sectors.
The clients may aim at higher return for their long-term free funds through a diversified portfolio with moderate or more significant changes in the value of the investment and high liquidity.
The risks associated with investing in this Fund may be the interest rate, currency, derivatives, management, inflation, operational, concentration, asset custody, and related party transaction risks. For more detailed information, see the Fund's Prospectus.
Investors should have in mind that the value of the funds’ units and the income from them may decrease, the profit is not guaranteed and they take up the risk of not recovering their investment in full. Before making a final investment decision, it is advisable for investors to familiarize themselves with the Prospectus and the Key Information Document of the respective fund. The documents are in Bulgarian and they are available on the website of DSK Asset Management AD (www.dskam.bg), and upon request can be obtained free of charge on paper at the office of the Management Company or at the offices of the DSK Bank AD, designated as a distribution point, every working day within their working hours.