About the fund

VIG Smart Money Fund of Funds


The Fund?s objective is to establish a portfolio for its Investors that generates positive returns ? higher than the yields available on the domestic money market ? under all circumstances, i.e. the Fund pursues a ?total return? strategy.

The Fund seeks to achieve this goal by selecting, through various analytical techniques, the asset classes and investment funds that have the greatest price growth potential and make investments through the purchase of investment units and collective investment securities.

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The Fund invests primarily in investment funds managed by VIG Befektetési Alapkezelő Magyarország Zrt., but may also purchase other investment funds and collective investment securities in its portfolio for diversification purposes or if the given asset class is not yet covered by the Fund Manager?s funds. In order to ensure liquidity, the Fund may hold in its portfolio discount treasury bills and government bonds issued by the Government Debt Management Agency (ÁKK), interest-bearing securities guaranteed by the Hungarian State, and bonds issued by the MNB. As the range of possible investments includes investments denominated in foreign currency, ETFs and investment units, the Fund?s investors may also bear some foreign exchange risk. According to the Fund?s investment policy, it invests or may invest more than 80 percent of its assets in investment units or other securities issued by a collective investment undertaking. However, the Fund does not intend to hold more than 20% weight in any one investment fund, except for the VIG Hungarian Money Market Fund, VIG Hungarian Bond Fund, VIGMoneyMaxx Emerging Market Total Return Fund, VIG Alfa Absolute Investment Fund, VIG Bondmaxx Total Return Bond Fund, VIG Maraton ESG Multi Asset Fund, VIG Panoráma Total Return Fund and VIG Ózon Annual Capital Protected Fund, the weight of which may be as much as 100% within the Fund?s portfolio.

Available funds

Date - 01/07/2024

VIG Funds Series Start Risk Recommended Time ISIN Code Change Price
Smart Money E series HUF 15/09/2009 3 2 years HU0000708169 -0.193% 1.872
Smart Money R series HUF 16/02/2021 3 2 years HU0000726450 -0.183% 1.231

Date - 01/07/2024

VIG Funds YTD 1 month 3 months 6 months 12 months 3 years 5 years 10 years From beginning
Smart Money E series 9.083% 1.586% 2.378% 9.083% 23.568% 25.862% 40.037% 47.741% 87.160%
Smart Money R series 6.684% 1.168% 1.943% 6.684% 16.793% 20.767% - - 23.113%

Date - 01/07/2024

VIG Funds 12 months Year 2023 Year 2022 Year 2021 Year 2020 Year 2019 Year 2018 Year 2017 Year 2016 Year 2015 Year 2014 Year 2013 Year 2012 Year 2011 Year 2010
Smart Money E series Investment Ticket 14.23% 21.73% -7.85% 2.78% 2.03% 5.77% -4.64% 2.64% 2.76% 0.49% 5.10% 5.88% 16.82% 1.26% 6.24%
Smart Money R series Investment Ticket 15.60% 23.20% -6.74%

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Portfolio managers


Péter Richter

Portfolio Manager

György Pálfi

Head of Equities