Active bond portfolio management
This is an investment portfolio consisting of bonds with high credit ratings, enabling us to simultaneously:
- protect money from inflation risks
- receive higher target income than deposit rates, by actively using money market resources.
This structure ensures:
- Flexible conditions for investment durations, and the setting of a minimum income rate
- A constant presence on the market, and the ability to react swiftly to changes in the market situation
- The execution of trade deals at the best prices and favourable REPO rates on the international debt market
- The services of Veles Capital’s large trading desk and direct access to leading stock-market and OTC counterparties.
- The use of currency and price hedging instruments