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SCOT-FX M2

SCOT-FX M2
28.76
+0.20
+0.72%
14/11/2018
5 años
  • Cierre anterior

    28.55

  • Activos netos

    Infinito

  • Rentabilidad

    0.00%

  • Comisión de suscripción

    0.00

  • Gastos

    1.00%

  • Categoría

    Foreign Currency Debt

  • Riesgo de Morningstar

    -

  • Calificación de Morningstar -
Perfil

Nombre del emisor

Scotia Fondos SA de CV

Estilo de fondo

Abierto

Gestor de fondos

Adrian Bazan Vazquez

Estilo de inversión

-

The Fund's objective is to keep the portfolio invested in a specialized way in government debt securities, private placed through public offering and bank mainly foreign currency denominated predominantly in U.S. dollars. Assets can be referenced at a fixed rate with / without coupon, floating-rate bonds have nominal performance or actual performance, also the main investment assets of the Fund may be baskets of securities that seek to replicate a particular index of so-called Exchange Traded Funds (or ETFs for short) and values ​​listed in the SIC. Additionally, the Fund may invest in foreign currency checkbooks and to a lesser extent in equity securities of domestic issuers and / or foreign denominated in pesos and / or other currency.

Información de compra

Compra inicial 2,000,000
Compra inicial: IRA NA
Compra inicial: AIP NA

Creación

26/11/2013

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