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BRD Simfonia
Open-end mutual fund specialized in money market investments and fixed income instruments: deposits certificates of deposit, treasury bills, Rev-Repo…
Degree of risk 3/7
Recommended min. period 1 year
Fund currency/Class RON
BRD Simplu
Open-end investment fund, which aims to make investments of up to 100% in bank deposits, money market instruments and…
Degree of risk 1/7
Recommended min. period 1 month
Fund currency/Class RON
BRD Euro Fond
The Fund’s portfolio is diverse, with investments in money market and fixed income instruments, and also in the bond…
Degree of risk 3/7
Recommended min. period 1 year
Fund currency/Class EUR
BRD Euro Simplu
Open-end investment fund denominated in euro, which aims to make up to 100% investments in bank deposits, money market…
Degree of risk 2/7
Recommended min. period 1 month
Fund currency/Class EUR
BRD USD Simplu
The Fund’s portfolio is diverse, with investments in fixed income and money market, and also in bond market.
Degree of risk 1/7
Recommended min. period 1 year
Fund currency/Class USD
BRD Obligațiuni
Open end Fund that invests primarily in bonds (mainly government, as well as municipal and corporate bonds). Provides diversification…
Degree of risk 2/7
Recommended min. period 3 years
Fund currency/Class RON
BRD Acțiuni
Open end Fund investing primarily in stocks but also in monetary instruments. Is seeking for relative high financial performance…
Degree of risk
Class RON 3/7
Class EUR 3/7
Recommended min. period 5 years
Fund currency/Class RON/EUR
BRD Diverso
Investment fund of diversified (mixed) type. It invests in several categories of financial instruments (equities, monetary and fixed income…
Degree of risk
Class RON 3/7
Class EUR 3/7
Recommended min. period 3 years
Fund currency/Class RON/EUR
BRD Orizont 2035
Open-end investment fund with a predetermined time horizon (2035) and dynamic asset allocation. The fund will have a higher…
Degree of risk
Class RON 3/7
Class EUR 3/7
Recommended min. period 5 years
Fund currency/Class RON/EUR
BRD Orizont 2045
Open-end investment fund with a predetermined time horizon (2045) and dynamic asset allocation. The fund will have a higher…
Degree of risk
Class RON 3/7
Class EUR 3/7
Recommended min. period 5 years
Fund currency/Class RON/EUR
BRD Global
Open-end investment fund with investments mainly in global equity markets, in particular by investing in exposure to tradable ETF-type…
Degree of risk
Class RON 3/7
Class EUR 3/7
Class USD 4/7
Recommended min. period 5 years
Fund currency/Class RON/EUR/USD
BRD Oportunități
Open-end investment fund denominated in both RON, EURO and USD, with a flexible investment allocation, being able to invest both…
Degree of risk
Class RON 3/7
Class EUR 3/7
Class USD 3/7
Recommended min. period 5 years
Fund currency/Class RON/EUR/USD

Please review the prospectus/key information document (KID), which can be found in the “Documents” section after clicking “Read More” for each individual fund, before making any final investment decision regarding any of the managed funds. Documents in Romanian are available on the company’s website at www.brdam.ro, as well as at the branches of the distributor BRD - Groupe Société Générale. A summary of investors’ rights is available in Romanian on the company’s website within the fund prospectuses, as well as at the branches of the distributor BRD - Groupe Société Générale. The investment management company may decide to revoke the arrangements it has made for the distribution of fund units, taking into account regulatory requirements. Investments in fund units are not risk-free. The Fund’s performance may be affected by the negative performance of one or more financial markets in which the Fund invests. In this regard, there is no guarantee of the investments made by investors. Past performance is not indicative of future returns. The risk may be higher if you hold the product for a period shorter than the recommended minimum, and you may receive an amount less than what you invested. The value of fund units may fluctuate, either up or down, relative to the purchase price, depending on the performance of the assets in which the investment fund invests.