The Gránit WM-4 Absolute Return Derivative Fund is primarily recommended for risk-taking investors seeking to achieve their long-term financial goals. The construction of the Fund’s portfolio is based on the principles of an absolute return approach, aiming to achieve positive returns regardless of the capital market environment, while taking risks in line with the prevailing risk profile. Asset allocation is dynamically adjusted in accordance with market conditions and the applicable risk profile. The portfolio may include money market, bond market, equity market, foreign exchange, commodity, and derivative instruments. There are no predefined geographical or sectoral exposure limits. The fund has a high-risk profile and operates with full equity exposure, holding bond or money market instruments only for short-term liquidity management purposes. The portfolio is built from a broad range of developed and emerging market equities, thematic investments, sector-specific strategies, and commodity positions. The fund makes extensive use of leverage and complex derivative transactions—including both hedging and purely investment positions—in order to maximise return potential. Due to its derivative nature, the fund may experience significant price volatility in the short term, which increases the overall risk of the product. This fund may not be suitable for investors who intend to withdraw their money within 4 years.

