Do have a specific investment idea or want to implement your own opinion directly? You appreciate the transparency of investment funds and the permanent tradability and availability of the capital?
ERSTE ADRIATIC BOND
Erste Adriatic Bond fund, founded in 2013 with assets over 1,7 billion HRK under management. Investing in Erste Adriatic Bond is intended for all investors who want to invest their assets over a medium to long investment period, regardless of whether they are individuals, companies or financial institutions.
ERSTE GREEN EQUITY
Erste Green Equity is a feeder fund that invests at least 85% of its assets in the Main Fund Erste Green Invest. The main goal of the Main Fund is to increase the value of the shares over a longer period by creating a portfolio that will invest at least 51% of its assets in shares of companies around the world that significantly contribute to environmental protection, thus being classified as sustainable investments. The selection of stocks is focused on companies that are primarily active in the areas of climate protection, adaptation to climate change, energy and water conservation, waste reduction and recycling, pollution mitigation and protection of healthy ecosystems.
ERSTE QUALITY EQUITY
The Erste Quality Equity fund is a feeder fund that strives to achieve its investment goal by permanently investing at least 85% of its assets in the Main fund (Erste Stock Quality). The main goal of the Main Fund is to increase the value of the shares over a longer period. At least 51% of the assets of the Main Fund will be exposed to shares listed on the stock markets of developed countries. The main fund can invest in companies with small, medium, and large market capitalization, as well as in significant, internationally known companies (blue chip stocks).
YOU INVEST GREEN
You invest green are mixed funds that invest in bonds, stocks, deposits, investment funds and other financial instruments with three strategies Solid, Balanced and Active. Depending on the individual needs of each client and risk preferences, the fundamental difference between funds is reflected in the equity market exposure; Solid 0-10%, Balanced 0-30% and Active 0-50%.