We are working with the aim of increasing the efficiency of the company by investing in the shares or stocks, the commodities, the currencies, the debt instruments, and the shares of closed and open companies that are traded in the international and domestic stock markets.
ESTABLISHED YEAR
2022
TOTAL EQUITY
10 billion MNT
DURATION OF OPERATION
10 years
PRICE PER SHARE
1 million MNT
FUND RETURN
Saving interest +
MANAGEMENT FEE
Up to 2%
INVESTMENT SECTOR
A fund that invests in foreign and domestic capital market financial instruments with an active investment strategy to maintain high returns.
Mineral industry and production
Agriculture, arboriculture
Refinery factory
Construction
Hotel, residence, apartment, and public catering service
Transportation and repository activity
Electricity, gas, steam, ventilation, and water supply
Activities in insurance and finance
Activities in real estate
Education
Healthcare
Services
Others

INVESTMENT INSTRUMENTS
We will invest in the following investment instruments in accordance with investment fund law, fund mission, policy document and project features under the selection process.
Government debt instruments
Debt instruments used by province and capital city governors
Shares of open joint stock company
Shares of closed joint company or limited liabilty company
Debt instruments of company, openly traded in regulated market
Debt instruments of company, not publicly traded in regulated market
Derivative financial instruments
Foreign and national currencies
Gold and other commercially available mining products
Ownership of real estate and movable estate
Securities issued by foreign government
Asset backed securities issued in accordance with law on asset backed securities