RU000A0ZYHN9 - The Trustworthy - Reserve Fund, RU000A0ZYHN9 | Cbonds
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RU000A0ZYHN9 - The Trustworthy - Reserve Fund (RU000A0ZYHN9)

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(%)
オープンエンド投資信託(OIF)
ファンドのタイプ
Formed
ステータス
Entrustment
プロバイダー
2.4 %
総保有コスト率(Total Cost Ratio)
Fixed Income
投資カテゴリー
Corporate bonds
セクター
Russia
投資家所在地
いいえ
適格投資家
176.72 RUB
一口当たり純資産価値(NAV) | 2026/06/04
14,394.67 百万 RUB
株式クラス純資産価値(Share Class NAV) | 2026/06/04
2011/12/22
設定日
RU000A0ZYHN9
RU000A0ZYHN9 ISIN
いいえ
配当支払い
CIOXLU
CFI
RU000A0ZYHN9
ティッカー
アクティブ
運用スタイル
いいえ
UCITS

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1 000 000

債券

80 234

167 970

ETF&投資信託

70 000

インデックス

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価格推移

ファンドプロファイル

The fund implements a balanced strategy of investing in bonds, shares and other instruments denominated in rubles. The fund's primary investment object is bonds of Russian and foreign issuers. At the same time, for at least two thirds of the working days during a calendar year, the total value of bonds of Russian and foreign issuers amounts to at least 80% of the total value of the fund's assets, and for at least two thirds of the working days during a calendar year, the total value of assets, the issuer of which is a Russian legal entity, amounts to at least 70% of the total value of the fund's assets. Bonds are selected on the following criteria: 1) credit rating of the issue, issuer or guarantor (if there is no issue rating) - no worse than ruB- on the Expert RA scale, B-(RU) on the ACRA scale or a similar credit rating of other rating agencies; 2) liquidity level - the issue volume must be at least 2 billion rubles; 3) Moscow Exchange listing - not lower than the third listing level. The selection of shares is based on public information on the timing of the conversion of such assets into bonds or the availability of an offer for such issues with subsequent repurchase of assets. Previous names - Mutual Fund of Bonds "Reserve" (until 09.11.2017), Mutual Fund "Sistema Capital - Reserve" (until 06.03.2025).

RU000A0ZYHN9 プロファイル

The The Trustworthy - Reserve Fund is a(n) Fixed Income Open-End Investment Funds (OIF) seeks to invest in Corporate bonds sector located in Russia. The Entrustment fund’s base currency is RUB and the share class was registered 22.12.2011 with unique ISIN - RU000A0ZYHN9. Main exchange is Moscow Exchange and ticker symbol is RU000A0ZYHN9. The total expense ratio is 2.4%. The The Trustworthy - Reserve Fund pays dividends 0 time(s) per year.

構造 RU000A0ZYHN9 時点 2026/04/30

証券 価値
Russia, 26247 (OFZ-PD, SU26247RMFS5) 5.41%
Atomenergoprom, 001P-07 5.11%
EvrazHolding Finance, 003P-04 4.58%
Russia, 26252 (OFZ-PD, SU26252RMFS5) 3.45%
Rostelecom, 001P-15R 3.33%
Russia, 26248 (OFZ-PD, SU26248RMFS3) 3.23%
Russia, 26245 (OFZ-PD, SU26245RMFS9) 3.2%
Rostelecom, 001P-16R 3.%
RZD, 001R-52R 2.85%
Freight One JSC, 003P-04 2.8%
Russia, 26250 (OFZ-PD, SU26250RMFS9) 2.59%
Etalon Finance, 002P-01 2.55%
Gazprom Capital, BO-003P-02 2.45%
Gazprom Neft, 003P-10R 2.43%
Slavneft, 001P-03 2.21%
Phosagro, BO-02-06 2.15%
Gazprom Neft, 003P-13R 2.15%
MTS, 002P-10 2.14%
VEB.RF, PBO-001P-18 2.13%
X5 Finance, 003P-12 1.95%
Russia, 26246 (OFZ-PD, SU26246RMFS7) 1.89%
Gazprom Neft, 003P-15R 1.88%
RZD, 001B-04 1.87%
DeloPorts LLC, 001P-04 1.84%
Freight One JSC, 003P-02 1.71%
Rosseti, 001R-17R 1.65%
Russia, 26253 (OFZ-PD, SU26253RMFS3) 1.59%
BN-Telecom, 001P-02 1.55%
Russia, 26249 (OFZ-PD, SU26249RMFS1) 1.5%
Federal Passenger Company, 002P-01 1.45%
X5 Finance, 003P-17 1.44%
Rostelecom, 001P-05R 1.42%
Gazprom Capital, BO-001P-06 1.34%
AFK Sistema, 001P-26 1.32%
Kazakhstan, 07 1.28%
VimpelCom, 001P-03 1.2%
VimpelCom, 001P-02 1.15%
AFK Sistema, 001P-30 1.11%
FCT, 002P-01 1.05%
MTS, 002P-01 1.04%
Mail.ru Finance, 001P-02 1.02%
MTS, 002P-06 1.%
International company JSC Yandex, 001P-02 0.96%
RZD, 001P-41R 0.92%
Russia, 26241 (OFZ-PD, SU26241RMFS8) 0.86%
RZD, 001R-42R 0.82%
Russian Post, BO-002P-04 0.81%
RZD, 001P-06R 0.81%
EvrazHolding Finance, 003P-01 0.65%
Russian Post, BO-002P-03 0.64%
Rosseti, 001R-16R 0.57%
Atomenergoprom, 001P-11 0.57%
Gazprom Neft, 003P-02R 0.51%
RZD, 001R-44R 0.3%
RZD, 001P-38R 0.27%
その他 - %

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