National Bank Holidays 2010

Please find below an overview of all Austrian Bank Holidays in 2010. Please note that for all Raiffeisen Funds no NAV calculation will take place on these days.

Raiffeisen-Dollár-RövidLejáratúKötvény Alap

From 03/25/1997 Up to 09/07/2010

Performance*

Performance
Performance
Year
Source: Depository Bank (Raiffeisen Zentralbank Österreich AG)

* Performance (incl. disbursements) From 03/25/1997 Up to 09/07/2010

Country: Hungary
 

FUNDS Information From 09/07/2010

Fund currency: USD
Financial year: From 16.11. Up to 15.11.
Management fee: 0.50%
Initial publication date: 10/21/1999

Risk


Balanced

higher earnings potential, larger price fluctuations.

Holding period in years:
min. 5 years

Download factsheet:
Download document  Hungarian  (pdf; 162 kB)


Performance in per cent (yoy)

Since launch 10 years 5 years 3 years 1 year
3.93 3.49 3.12 2.70 1.41

Prices From 09/07/2010

 Full income-retaining tranche
ISINAT0000785456
NAV per unit153,65
Redemption price per unit153,65

The current version of the prospectus for this fund, including all of the amendments since its original publication, is available at www.rcm-international.com. Performance is calculated by Raiffeisen KAG pursuant to the OeKB method, based on the data from the depository bank and presented in net terms (in the event that payment of the redemption price is suspended, available indicative values are used). Subscription and redemption fees are not taken into consideration. Past performance is not a reliable indicator of the future development of an investment fund. Note for investors from non-euro and/or non-USD countries in respect of funds which are not denominated in USD: we expressly point out that returns may rise or fall due to currency fluctuations. The taxable treatment depends on the personal tax status and may be subject to future changes. All of the data and information has been compiled with the greatest of care and checked; the sources of data used are reliable. The information is valid as of the date it is updated. No liability or guarantee can be assumed for the information being either correct or complete.