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RU000A0JP799 - BCS Russian Bonds (RU000A0JP799)

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(%)
Otwarte inwestycyjne fundusze wzajemne (OIFW)
Rodzaj funduszu
Formed
Status
BrokerCreditService Asset Management
Usługodawca
2.7 %
Współczynnik całkowitych wydatków
Fixed Income
Obiekt inwestowania
All Sectors
Sektor
Russia
Zakres geograficzny
Nie
Qualified investor
4,31 RUB
Wartość aktywów netto na akcję | 2026-07-28
3.834,04 mln RUB
Wartość aktywów klasy akcji | 2026-07-28
2003-12-26
Data uruchomienia
RU000A0JP799
RU000A0JP799 ISIN
Nie
Wypłata dywidendy
CIOXLU
CFI
RU000A0JP799
Symbol giełdowy
1 / 100 (13/08/2024)
Split
Active
Management Style
Nie
UCITS

Rentowność na 2026-07-29, ***

  • YTD
    6,19 %
  • 1M
    1,42 %
  • 3M
    4,38 %
  • 6M
    7,84 %
  • 1Y
    23,49 %
  • 3Y
    42,05 %
  • 5Y
    -
  • 10Y
    -88,25 %
Według ceny na giełdzie z uwzględnieniem wypłat dochodu

Ostatnie dane na
Dodaj do porównania

Notowania (RU000A0JP799)

Poznaj najbardziej kompletną bazę danych

1 000 000

obligacje

100 000

akcje

175 910

ETF & Funds

100 000

indeksów

Najskuteczniej kontroluj swój portfel

  • Skaner obligacji
  • Lista do obejrzenia
  • DODATEK Excel

Zmiana dynamiki cen

Fund profile

The Fund Provider implements an active management strategy by investing in bonds of large Russian issuers with a high credit rating, denominated in Russian rubles (primary assets). The selection of bonds is carried out subject on the following criteria: 1) issue rating or issuer rating: not lower than the ruB- rating 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 250 million rubles; 3) the listing level on PJSC Moscow Exchange must be not lower than the third listing level, and for other exchanges of the Russian Federation or foreign exchanges, inclusion of the bond in the quotation list on the relevant exchange is necessary and sufficient. The indicator, in relation to which the Provider evaluates the management effectiveness is the Moscow Exchange Corporate Bond Index (RUCBTRNS). 08/08/2019, the operation of splitting the units of the open-end mutual fund "BCS Osnova" was carried out with a coefficient of 1:20. 09/08/2024, the operation of splitting the units of the open-end mutual fund "BCS Osnova" was carried out with a coefficient of 1:100. The historical values ??of the fair price and NAV were recalculated. 12/09/2024 the name of the mutual fund was changed (previously - "BCS Osnova").

RU000A0JP799 profile

The BCS Russian Bonds is a(n) Fixed Income Open-End Investment Funds (OIF) seeks to invest in All Sectors sector located in Russia. The BrokerCreditService Asset Management fund’s base currency is RUB and the share class was registered 26.12.2003 with unique ISIN - RU000A0JP799. Main exchange is Moscow Exchange T+ and ticker symbol is RU000A0JP799. The total expense ratio is 2.7%. The BCS Russian Bonds pays dividends 0 time(s) per year.

Skład RU000A0JP799 na 2026-06-30

Papier Wartość
Sberbank, 001P-SBER56 2,69%
Khanty-Mansiysk Autonomous Okrug – Yugra, 34002 2,64%
Rostelecom, 003P-01 2,62%
Freight One JSC, 003P-02 2,57%
Russia, 26254 (OFZ-PD, SU26254RMFS1) 2,5%
SFO Split Finance (Yandex Fintech), PV-1 2,41%
Ulyanovsk Region, 34008 1,98%
RUSGIDRO, BO-002R-07 1,96%
International company JSC Yandex, 001P-05 1,92%
Russia, 26252 (OFZ-PD, SU26252RMFS5) 1,88%
FCT, 002P-01 1,79%
UEC, 001P-01 1,77%
Russia, 26245 (OFZ-PD, SU26245RMFS9) 1,77%
VIS FINANCE, BO-P12 1,74%
RZD, 001R-53R 1,68%
Baltic Leasing, BO-P10 1,66%
Atomenergoprom, 001P-07 1,64%
Freight One JSC, 003P-04 1,6%
GTLK, 002P-09 1,57%
UEC, 001P-03 1,49%
AVTOBAN-Finance, BO-P08 1,47%
Ekoniva, 001P-01 1,44%
IEC Holding, 001P-05 1,44%
Atomenergoprom, 001P-09 1,41%
Russian Post, BO-002P-04 1,38%
LSR Group, 001P-11 1,37%
SPE TB-8, A1 1,35%
PSB Bank, 004P-01 1,35%
Russia, 26238 (OFZ-PD, SU26238RMFS4) 1,33%
RZD, 001R-43R 1,28%
Federal Passenger Company, 002P-01 1,26%
TMK, 002P-01 1,26%
Russia, 26248 (OFZ-PD, SU26248RMFS3) 1,26%
Gazprom Capital, BZO26-1-E 1,21%
Russia, 26243 (OFZ-PD, SU26243RMFS4) 1,21%
Gazprom Capital, BZO26-1-D 1,2%
Gazprom Neft, 003P-15R 1,18%
GTLK, 002P-12 1,18%
Novabev Group, 003P-02 1,17%
SOVKOMBANK LIZING, BO-P17 1,13%
Positive Group, 001P-03 1,12%
GK Azot, 001P-02 1,09%
Seligdar, 001R-03 1,06%
Sinara-Transport Machines, 001P-04 1,06%
Russia, 26247 (OFZ-PD, SU26247RMFS5) 1,06%
HC Novotrans, 002P-01 1,04%
Russian Post, BO-002P-03 1,03%
Republic of Sakha (Yakutia), 34006 1,02%
Alium, 001R-01 1%
Phosagro, BO-02-06 1%
Inarctica, 002P-02 0,99%
PSB Bank, 004P-06 0,98%
EvrazHolding Finance, 003P-01 0,98%
VEB.RF, PBO-002R-58 0,98%
Ulyanovsk Region, 34013 0,96%
Tomsk Region, 34074 0,9%
Tomsk Region, 35078 0,87%
Bashkortostan republic, 34015 0,85%
Russia, 26240 (OFZ-PD, SU26240RMFS0) 0,83%
SOVKOMBANK LIZING, BO-P07 0,83%
Ekoniva, 001P-03 0,79%
AFK Sistema, 002P-03 0,77%
RESO-Leasing, BO-P-25 0,74%
Etalon Finance, 002P-01 0,73%
SIBUR Holding, 001P-07 0,72%
KAMAZ, BO-P16 0,71%
Seligdar, 001R-04 0,7%
LSR Group, 001P-10 0,66%
Europlan LC, 001P-09 0,65%
VEB.RF, PBO-002P-36 0,59%
Auto Finance Bank, BO-001P-15 0,56%
Auto Finance Bank, BO-001P-18 0,52%
RESO-Leasing, BO-02P-05 0,48%
GTLK, 002P-13 0,48%
MTS, 002P-01 0,46%
Brusnika Construction & Development, 002R-04 0,45%
HC Novotrans, 001P-03 0,42%
VEB.RF, PBO-002P-33 0,37%
Rosagroleasing, 001P-05 0,36%
TGC-14, 001P-07 0,31%
RZD, 001P-03R 0,3%
Metalloinvest, 001P-06 0,3%
RZD, 001P-38R 0,3%
Samolet Group of Companies, BO-P11 0,3%
Whoosh, 001P-04 0,29%
RESO-Leasing, BO-P-11 0,28%
Ulyanovsk Region, 34009 0,23%
Avtodor, BO-003P-02 0,17%
Russia, 26219 (OFZ-PD, SU26219RMFS4) 0,12%
Russia, 26233 (OFZ-PD, SU26233RMFS5) 0,11%
Etalon Finance, BO-PO3 0,07%
Russia, 26237 (OFZ-PD, SU26237RMFS6) 0,06%
Russia, 26226 (OFZ-PD, SU26226RMFS9) 0,02%
Russia, 29016 (OFZ-PC, SU29016RMFS1) 0,01%
Inne - %

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