The open investment fund GE Money Eastern Europe Balanced fund is created for those investors who is guided by intermediate term and long-term investments.
The goal of fund is to achieve the gain of capital on intermediate and long-term investments.
In order to achieve the above goal the fund invests its assets, mainly, into bonds issued or guaranteed by Eastern Europe countries' governments, municipalities, central banks, credit institutions, and also into bonds and equities issued by Eastern Europe countries' companies.
The basic currency of fund - USD.
Investment Policy of the Fund
Policy of the Fund provides for the following structure of the investment portfolio:
- Up to 100% of the Fund's assets may be invested into bonds issued or guaranteed by Eastern Europe countries' governments, municipalities, central banks, credit institutions, and also into bonds issued by Eastern Europe countries' companies;
- Up to 40% of the Fund's assets may be invested into money-market instruments issued or guaranteed by Eastern Europe countries' governments, municipalities, central banks, credit institutions, and also companies;
- Up to 30% of the Fund's assets may be invested into the shares of companies;
- Up to 30% of the Fund's assets may be invested into deposits with credit institutions;
- Up to 10% of the Fund's assets may be invested into public investment funds.

