LHV Pensionifond Aktiivne III
LHT75
20.02.2002
EE3600010294
The Fund prefers to invest its assets in foreign markets, in more liquid instruments and in instruments traded on regulated markets. The Fund’s assets may be invested in shares, equity funds and other equity-like instruments. In addition to the above, the Fund’s assets may also be invested in bonds, money market instruments, deposits, units or shares in other investment funds, real estate, derivative instruments, securities whose underlying asset is a precious metal or a commodity or whose price depends on a precious metal or a commodity, and other assets. The Fund can also be used to borrow and lend. The Management Company may borrow up to 25% of the value of the Fund’s assets on the Fund’s account, which also allows for investing more than 100% of the value of the Fund’s assets, up to 125% of the value of the Fund’s assets, in equity risk instruments.
Fund fees
Issue fee
Redemption fee
Management fee
Total expense ratio, 2023
0%
0%
0.89%
1,19%
Reports
Year
Contacts
E-mail: info@lhv.ee
Phone: +372 6 800 400
Fax: +372 6 800 402
Website: www.lhv.ee
Address: Tartu mnt 2, 10145 Tallinn