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The fund is addressed to investors with long-term horizon of more than 10 years and it targets primarily capital appreciation and, secondarily, capital preservation, although its composition has both development (equities) and fixed income investments (bonds and deposits). The fund invests globally, including Cyprus, and is considered as medium to high risk. The fund does not guarantee returns.
The fund is addressed to investors with a long term horizon of over 10 years.
Cypria Global Cypria Momentum Cypria Future Planning Cypria Global Plus Cypria Money Plus Cypria Money Plus Convertible Cypria Scholarplan Cypria Multicover Cypria Advantage Cypria Pension Plan
Open-end Fund. Available only in new contracts.
Last Five Calendar Years
Income Investments: 30-60%
Growth Investments: 40-70%
Property Investments: ---
The fund managers have the right to alter the structure of the Fund in line with prevailing market conditions. Apart from special circumstances, the structure of the Fund will lie within the above restrictions.
Income Investments: Bonds, bond mutual funds, fixed deposits, moneymarket instruments and policy loans
Growth Investments: Listed shares and other admissible investments
Launch Date: 01 June 2001
Fund Managers: CNP CYPRIALIFE
Monthly Administration Charges: 1/12 of the 1,25% of the fund’s size
External Investment Managers: Allianz, Invesco, PIMCO, BlueBay, BlackRock, Goldman Sachs, BNP Paribas, La Bank Postale, Natixis, J.P. Morgan, Fidelity, Amundi, UBS
Cyprus Stocks: 1,0%
International Stocks: 37,0%
Property: 0,0%
Government Bonds: 27,6%
Corporate Bonds: 30,3%
Policyholder Loans: 0,3%
Deposits and Moneymarket funds: 3,9%
Fund Size (million Euros): €46,1
Unit Bid Price: €4,198
Unit Offer Price: €4,418
Fund Start Date: 01-June-01
Management Fee: monthly cut 1/12 of the 1,25% of total fund net assets.
See all fund prices
Specific Information Document
Performance Scenarios
Download the document here.
Investing in this fund should be considered medium to long term. Fund performance is not guaranteed. The value of your investment will fluctuate depending on the fund's return and may decrease comparing to your initial capital.
Past performance does not guarantee future performance. The value of the investment may be increased or decreased and there is no guarantee that the amount invested will be recovered.
The minimum fund stake is 10% of the premium invested.
Due to investments made abroad, part of the investment may be subject to exchange rate risk.
The percentage return is calculated based on the change in the unit's bid value over the corresponding period.
The company reserves the right to increase the annual management fee up to 2%.
Explanations or clarifications regarding this form can be obtained either from your insurance consultant or from the Pancyprian Customer Service Center at 22 11 12 13. You can find further details about this fund in the relevant prospectus.
This information refers to the date listed in the heading of this form and is published only for information purposes, without being a call for investment or advice. The company is not responsible for any damages or losses that may arise from any use of this information. The company recommends obtaining professional advice before investing in the information contained in this document as well as in the prospectus.
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