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Ansaf (AMC PIFagor, Ltd.)

General information
Fund nameAnsaf
Registration number1549-94198646
Asset Management CompanyPIFagor, Ltd.
TypeClose-end
CategoryReal Estate
Sector / SpecializationMixed
StatusFormed
Registration date08.09.2009
Inception date25.02.2010
Minimum investments128.65 USD
Specialized depositoryFirst Special Custodian
Specialized registrarFirst Special Custodian
Fund profile

Load fund's rules »
Other funds of PIFagor, Ltd.
NameNAV, USD
Ansaf4 588 597.81
Aurora Fund for qualified investors only-
DOMINIR Fund for qualified investors only-
Pegasus Fund for qualified investors only-
Poplar Alley Fund for qualified investors only-
Prime Finance Fund for qualified investors only-
STROIKOM-CAPITAL20 370 155.41
Total NAV, USD24 958 753.22
Performance and NAV dynamics, USD
28.02.20201 month3 month1 year3 year
Share34.79 USD-3.26%5.53%7.07%8.41%
NAV4 588 597.81 USD-3.26%5.53%7.07%8.41%
Share (USD) | Full data »
NAV (USD) | Full data »