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The FUND shall maintain at least 80% (eighty percent) of its portfolio of assets whose returns are linked to variations in the domestic interest rate and / or price indexes, or both, pledging to seek the return of the Index Market Andima - B (B IMA). The Fund's work in the derivatives market is restricted to conducting operations in order to protect the positions held. The main risk the the Fund's portfolio is the change in domestic interest rates and prices or rates, or both. The Fund must compose a portfolio of assets with an average of more than 365 days, since it is committed to obtaining the tax treatment for long-term funds.
Name | Title | Since | Until |
---|---|---|---|
Not Disclosed | - | 2009 | Now |
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