OTP Palette Derivative Mixed Fund

Open-ended, public, Central-Eastern European, mixed fund

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Current price and net worth

Yields

Past yields

Past performances don’t guarantee future performances. In addition to examining the retrospective yields, it is also essential to observe the recommended minimum investment horizon.

You can also buy your investment unit online if you have internet bank access and a securities account at OTP Bank.

Presentation

Presentation of the fund

This is a balanced mixed fund investing in Central and Eastern European markets.

For whom and for how long investment horizon is it recommended?

The fund is recommended for those who want to invest in a well-diversified fund that holds both bonds and equities.

The recommended minimum investment horizon is 3 years.

Benchmark

  • 15% CETOP
  • 12.5% MSCI EMU ND
  • 12.5% MSCI EM ND
  • 5% MSCI World ND
  • 55% yield cap (6%)

Objective of the fund

The aim of the fund is to provide investors with a flexible, anytime accessible investment in an actively managed portfolio of bonds, treasury bills and equities.

Investment policy

The fund holds primarily Central European, emerging and developed market equities, bonds, discount treasury bills and other investment vehicles under active asset management. Investments are selected primarily on the basis of fundamental analysis. For overvalued securities, the investment strategy may include borrowing and selling the overvalued security and taking long-short positions to take advantage of valuation mismatches. The fund managers also actively manage the fund’s currency exposure. The average equity weighting of the fund is 45%, but can fluctuate between 30% and 60% depending on the current market environment due to the absolute yield approach.

Portfolio managers

Distribution

Where can you buy investment units?

At OTP Bank

The investment units of the fund are available online or in the branches.

You can also buy investment units online if you have internet bank access and a securities account with OTP Bank.

Find your nearest securities trading bank branch and make an appointment!

Information on distribution

Performance

Past performances

Net returns based on net asset value, expressed as a percentage, annualized returns for periods longer than 1 year (calculated using the compound interest method, based on a 365-day year). Values before deduction of taxes, contributions and distribution costs. Source of historical yield data: Bloomberg (reference index) and OTP Fund Management (funds).

Risk indicators

In this section, you will find past performances of the main risk indicators for the fund. The volatility, tracking erreor, alfa, maximum drawdown are expressed in percentage.

Downloads

Downloads

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