Signal IDUNA Fund Invest

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OVERVIEW 
Risk rating: 5 (Moderately high)
Minimum investment period: 3-5 years
Currency of record: Hungarian forint
Currency exposure: USD, EUR
Geographical exposure: Global
Sectoral exposure: Not applicable
ESG preference: Not applicable
BENCHMARK INDEX
MSCI World Net Total Return Index converted to HUF: 50%
Bloomberg Barclays Global Aggregate Total Return Index Unhedged USD converted to HUF: 25%
MSCI Emerging Markets Net Total Return Index converted to HUF: 15%
Bloomberg Barclays Global Aggregate Corporate Total Return Index Unhedged USD converted to HUF: 10%

* The exchange rate movements of international assets in the fund’s portfolio are not hedged against the forint. This means that the Fund’s investors’ savings are invested in assets denominated in US dollars and euros. Thus, if the forint weakens, this adds to the underlying international assets, while if the forint strengthens, it detracts from the Fund’s performance calculated in forints.

 

The investment objective of the Fund is to create a well-diversified international mixed portfolio consisting mainly of collective investment forms from a global investment range covering multiple asset classes (primarily international equity and bond markets) and thereby achieve maximum capital growth in the long term.

The Fund Manager achieves the above investment objective primarily through benchmark-based, active asset allocation investments in collective investment instruments. Collective investment forms targeting primarily international equity and bond markets account for at least 80% of the Fund’s portfolio. Collective investment instruments may be exchange-traded funds (ETFs) or other investment funds. In addition, to a limited extent, individual bond and equity market investments, bank deposits and cash accounts may also be included in the portfolio.

Who is it recommended for?

The investment fund is a good choice for those who want to enjoy the return of stocks in addition to moderate-risk bond investments in the long term. This fund may not be suitable for investors who want to withdraw their money from the fund within 3-5 years.

SIFI Global Mixed Fund Of Funds Series

SeriesISINValuation dateNet Asset ValuePriceCurrency
Series “A” HU0000734926 21 May 2026 9 573 834 1.003012 HUF
Series “U” HU0000725288 21 May 2026 25 538 165 164 1.631175 HUF
Series “D” HU0000739222 21 May 2026 1 080.4 1.0804 EUR
Series “R” HU0000739214 21 May 2026 1 075.12 1.07512 EUR
Series "U"
ISIN
HU0000725288
Valuation date
21 May 2026
Net Asset Value
25 538 165 164
Price
1.631175
Currency
HUF
Series "A"
ISIN
HU0000734926
Valuation date
21 May 2026
Net Asset Value
9 573 834
Price
1.003012
Currency
HUF
Series "D"
ISIN
HU0000739222
Valuation date
21 May 2026
Net Asset Value
1 080.4
Price
1.0804
Currency
EUR
Series "R"
ISIN
HU0000739214
Valuation date
21 May 2026
Net Asset Value
1 075.12
Price
1.07512
Currency
EUR