All about mutual funds and asset management in Russia

Aton - Petr Stolypin (AMC Aton Management)

General information
Fund nameAton - Petr Stolypin
Registration number0009-46349328
Asset Management CompanyAton Management
TypeOpen-end
CategoryEquity
Sector / SpecializationAll Russian Equity
StatusFormed
Registration date04.03.1997
Inception date28.05.1997
Minimum investments14.11 USD
Specialized depositoryFirst Special Custodian
Specialized registrarFirst Special Custodian
Fund profile
The fund invests in Russian equities that offer potentially higher returns via greater exposure to risk. The investment management philosophy is research intensive, focusing on Russia and the Russian market in general, followed by extensive research on specific investment opportunities.
Load fund's rules »
Other funds of Aton Management
NameNAV, USD
ATON - Bet on growth890 862.35
Aton - Bonds29 674 956.11
ATON - Cloud technologies969 937.85
ATON - Digital Future1 524 648.45
ATON - Dividends1 440 534.13
Aton - Fund of Eurobonds23 738 287.67
ATON - Genetic Revolution725 454.02
ATON - Gold Miners1 103 138.88
Aton - High Technology Fund7 414 852.40
ATON - High Yield Russian Bonds874 102.51
ATON - INFRASTRUCTURE7 579 393.54
ATON - Innovation1 417 026.80
Aton - International Markets Found34 304 483.27
ATON - Medicine and Biotech USA889 613.53
ATON - Opportunity Markets1 321 081.39
Aton - Petr Stolypin200 864 342.76
ATON - Profitable bonds of the World1 372 992.68
ATON - Reliable bonds1 370 171.03
ATON - Russian bonds +1 424 796.12
ATON - Russian stocks +2 592 364.52
ATON - Safe Harbor847 493.75
ATON - Silver4 547 587.61
ATON - Undervalued US Companies1 412 429.97
ATON - US Growth Leaders866 394.94
World investments Fund for qualified investors only-
Total NAV, USD329 166 946.28
Investfunds Rating (31.12.2020)
Rating is not assigned.
Reason: Not enough Russian assets in fund structure
- absence of rating is not an indicator of asset management quality
Rating methodic
Performance and NAV dynamics, USD
21.10.20211 month3 month1 year3 year
Share67.01 USD9.75%20.17%72.85%76.47%
NAV200 864 342.76 USD13.14%30.77%129.93%224.80%
Share (USD) | Full data »
NAV (USD) | Full data »
Analytical ratios
Sharpe ratioSortino ratioVaRVolatilityR2α-coeffβ-coeff
0.2640.248-5.86%4.58%94.85%-0.0200.938