- General information
- AEGON Money Market Fund
- AEGON Domestic Bond Fund
- AEGON International Bond Fund
- AEGON Central European Equity Fund
- AEGON International Equity Fund
- AEGON Asia Equity Fund of Funds
- AEGON MoneyMaxx Expressz Mixed Fund
- AEGON Atticus Alfa Derivative Fund
- AEGON Atticus Vision Derivative Fund
- AEGON Ózon Capital Protected Derivative Fund
- AEGON Climate Change Equity Fund
- AEGON EuroExpress Fund
- AEGON Bessa Derivative Fund
- AEGON IstanBull Equity Fund
- AEGON Russia Equity Fund
- AEGON Smart Money Investment Fund of Funds
- AEGON Central-European Bond Fund
AEGON Asia Fund of Equity Funds
General information
ISIN code | HU-0000705272 |
ISIN code (B series) | HU-0000705934 |
Bloomberg code | AEGASEQ HB Equity |
Bloomberg code (B series) | AEGASEB HB Equity |
Fund Manager | AEGON Magyarország Befektetési Alapkezelő Zrt. (1091 Budapest, Üllői út 1.) |
Custodian | UniCredit Bank Hungary Zrt. |
Main distributor | AEGON Magyarország Befektetési Jegy Forgalmazó Zrt. |
Launch Date of the Fund | 16.05.2007. |
Currency | HUF; EUR |
Benchark | 90% MSCI AC Far East MXFE Index + 10% ZMAX Index |
Risk | High |
Suggested minimum investment period | 5 years |
Type of the Fund | Asian Equity Fund |
Investment policy of the Fund
We launched the Aegon Asia Equity Fund of Funs in order that our customers could profit from the Asian growth. The persistent profit growth of the Asian companies, the regions richness in liquidity and the appreciation of the Asian currencies are the key to the strong economical growth of the region, a growth that will probably be much more higher in the coming years than the European or American one. According to our opinion the long-term structural development secures the sustainable above average growth. Dissimilar to the previous economics cycles the region is less vulnerable because of its big foreign-exchange holdings and low indebtedness. The developing internal demand and the high liquidity could compensate a potential slowdown in the American economy. Most of the Asian equities offer a high dividend yield and the evaluation level of the firms is low compared with other regions. Certainly it is important to invest in such markets that have adequate evaluation levels. Our investment decisions are supported by a special investment-planning model, which is filled up with all the important macro economical indicators and the evaluation indicators of the companies. The 90% MSCI AC Far East MXFE Index + 10% ZMAX Index is the benchmark index of the fund. The fund’s main goal is to over perform its benchmark by minimum 2%.
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