Gránit WM-3 Absolute Return Derivative Sub-Fund Series “A”

Gránit WM-3 Absolute Return Derivative Sub-Fund offers the highest potential return and lowest risk profile of the WM (Wealth Management) sub-funds family. The sub-fund follows an absolute return investment policy, seeking suitable investment targets among money market, bond market, and equity market assets. In contrast to the WM-1 and WM-2 Sub-Funds, the WM-3 Sub-Fund also has equity exposure, primarily through individual stocks and ETFs. For diversification purposes, the sub-fund also acquires government securities and corporate bonds, with money market-type instruments also being present in the portfolio. Additionally, the sub-fund may conduct derivative transactions for investment and hedging purposes. This sub-fund may not suit investors who intend to withdraw their money within 4 years.

Fund classificationAbsolute Return Funds
ISIN codeHU0000713847
Net asset value5 237 900 932 HUF
Currency HUF
Unit price2.17333800 HUF (2026-05-21)
BenchmarkHWM+5,2%
Settlement day for purchase ordersT+2 days
Redemption dateT+2 days
Category Absolute return
Geographical exposureGlobal
RISK i

·  Lowest risk (1):
We have classified this product as 1 out of 7, which is the lowest risk class.
This rates the potential losses from future performance at a very low level, and poor market conditions are very unlikely to impact our capacity to pay you.

·  Low risk (2):
We have classified this product as 2 out of 7, which is a low risk class.
This rates the potential losses from future performance at a low level, and poor market conditions are very unlikely to impact our capacity to pay you.

·  Medium-low risk (3):
We have classified this product as 3 out of 7, which is a medium-low risk class.
This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact our capacity to pay you.

·  Medium risk (4):
We have classified this product as 4 out of 7, which is a medium risk class.
This rates the potential losses from future performance at a medium level, and poor market conditions could impact our capacity to pay you.

·  Medium-high risk (5):
We have classified this product as 5 out of 7, which is a medium-high risk class.
This rates the potential losses from future performance at a medium-high level, and poor market conditions will likely impact our capacity to pay you.

·  Second-highest risk (6):
We have classified this product as 6 out of 7, which is the second-highest risk class.
This rates the potential losses from future performance at a high level, and poor market conditions are very likely to impact our capacity to pay you.

·  Highest risk (7):
We have classified this product as 7 out of 7, which is the highest risk class.
This rates the potential losses from future performance at a very high level, and poor market conditions are very likely to impact our capacity to pay you.

1
2
3
4
5
6
7
We have classified this product as 4 out of 7, which is a medium risk class. This rates the potential losses from future performance at a medium level, and poor market conditions could impact our capacity to pay you.

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Documents

Sustainability-related Information

Performance of calendar years

202510.46%
202411.45 %
202321.04 %
2022-5.1 %
20217.73 %
202015.25 %
20196.45 %
2018-5.27 %
201711.31 %
2016 2.24 %
2015 4.85 %

Historical return

3 months-2.07%
6 months4.03%
1 year*4.23%
3 years*10.69%
5 years*7.85%
10 years*7.27%
Year-to-date return0.45%
Return since inception6.76%

* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

Reference day: 2026-05-21

Unit price change

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Important notice

The descriptions of the funds managed by Gránit Asset Management Plc. (registered office: H-1134 Budapest, Váci road 17; company registration number: 01-10-046307) are prepared as informative marketing materials, therefore, it has not been prepared in accordance with legal requirements promoting the independence of investment research. Furthermore, it is not subject to restrictions regarding trading before the distribution of investment research. This document does not qualify as investment analysis or investment advice. The disclosed data always refers to the past, and past performance is not a reliable indicator of future results.  All investors are advised to consult the prospectus, the fact sheet, the terms and conditions, and other documents of the investment funds and the services offered, which are available on the Asset Manager’s website (www.granitalapkezelo.hu). The prices of investment units issued by investment funds may change positively and negatively based on market processes. The investment unit may lose its entire value, but it does not result in an additional payment obligation. Every investor must make the investment decision based on their own judgment and at their own risk.

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Fund

Currency

Category

Recommended min. holding period

Risk

1 year return

4 year(s)
1
2
3
4
5
6
7
We have classified this product as 4 out of 7, which is a medium risk class. This rates the potential losses from future performance at a medium level, and poor market conditions could impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 4 out of 7, which is a medium risk class. This rates the potential losses from future performance at a medium level, and poor market conditions could impact our capacity to pay you.

Recommended Holding period

4 year(s)

RETURN (1 YEAR, HUF):

return

3 months-
6 months-
1 year*-
3 years*-
5 years*-
10 years*-
Year-to-date return-0.18%
Return since inception-0.18%

Performance of calendar years

No performance data available.

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

2 year(s)
1
2
3
4
5
6
7
We have classified this product as 3 out of 7, which is a medium-low risk class. This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 3 out of 7, which is a medium-low risk class. This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact our capacity to pay you.

Recommended Holding period

2 year(s)

RETURN (1 YEAR, HUF):

return

3 months-
6 months-
1 year*-
3 years*-
5 years*-
10 years*-
Year-to-date return4.72%
Return since inception4.72%

Performance of calendar years

No performance data available.

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

1 year(s)
1
2
3
4
5
6
7
We have classified this product as 2 out of 7, which is a low risk class. This rates the potential losses from future performance at a low level, and poor market conditions are very unlikely to impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 2 out of 7, which is a low risk class. This rates the potential losses from future performance at a low level, and poor market conditions are very unlikely to impact our capacity to pay you.

Recommended Holding period

1 year(s)

RETURN (1 YEAR, HUF):

return

3 months-
6 months-
1 year*-
3 years*-
5 years*-
10 years*-
Year-to-date return1.70%
Return since inception1.70%

Performance of calendar years

No performance data available.

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

4 year(s)
1
2
3
4
5
6
7
We have classified this product as 2 out of 7, which is a low risk class. This rates the potential losses from future performance at a low level, and poor market conditions are very unlikely to impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 2 out of 7, which is a low risk class. This rates the potential losses from future performance at a low level, and poor market conditions are very unlikely to impact our capacity to pay you.

Recommended Holding period

4 year(s)

RETURN (1 YEAR, HUF):

return

3 months0.15%
6 months2.90%
1 year*7.35%
3 years*7.47%
5 years*5.53%
10 years*4.13%
Year-to-date return1.58%
Return since inception4.21%

Performance of calendar years

20255.03%
20248.38 %
202313.20 %
20220.64 %
20212.50 %
20201.50 %
20194.43 %
2018-4.86 %
20178.11 %
20161.43 %
2015-0.71 %
20146.70 %
20131.56 %
2012 7.16 %

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

≥ 4 year(s)
1
2
3
4
5
6
7
We have classified this product as 5 out of 7, which is a medium-high risk class. This rates the potential losses from future performance at a medium-high level, and poor market conditions will likely impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 5 out of 7, which is a medium-high risk class. This rates the potential losses from future performance at a medium-high level, and poor market conditions will likely impact our capacity to pay you.

Recommended Holding period

≥ 4 year(s)

RETURN (1 YEAR, HUF):

return

3 months-0.13%
6 months-0.49%
1 year*3.56%
3 years*7.74%
5 years*6.53%
10 years*3.40%
Year-to-date return-1.02%
Return since inception2.10%

Performance of calendar years

20256.54%
202410.94 %
202313.17 %
20221.85 %
20216.44 %
20201.50 %
2019-5.37 %
2018-1.16 %
20175.79 %
2016-6.60 %
2015-1.36 %
2014-0.76 %
20131.91 %

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

≥ 3 year(s)
1
2
3
4
5
6
7
We have classified this product as 3 out of 7, which is a medium-low risk class. This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 3 out of 7, which is a medium-low risk class. This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact our capacity to pay you.

Recommended Holding period

≥ 3 year(s)

RETURN (1 YEAR, HUF):

return

3 months3.61%
6 months7.82%
1 year*11.54%
3 years*10.42%
5 years*2.29%
10 years*2.33%
Year-to-date return6.08%
Return since inception4.38%

Performance of calendar years

20255.81%
20243.06 %
202325.86 %
2022-16.34 %
2021-11.13 %
20201.23 %
20194.95 %
2018-1.09 %
20176.57 %
20166.19 %
20154.43 %
201411.81 %
20137.01 %
201222.18 %

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

3 year(s)
1
2
3
4
5
6
7
We have classified this product as 3 out of 7, which is a medium-low risk class. This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 3 out of 7, which is a medium-low risk class. This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact our capacity to pay you.

Recommended Holding period

3 year(s)

RETURN (1 YEAR, HUF):

return

3 months-0.78%
6 months1.02%
1 year*6.76%
3 years*-
5 years*-
10 years*-
Year-to-date return0.67%
Return since inception4.47%

Performance of calendar years

20256.29%
2024-0.72 %

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

3 year(s)
1
2
3
4
5
6
7
We have classified this product as 3 out of 7, which is a medium-low risk class. This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 3 out of 7, which is a medium-low risk class. This rates the potential losses from future performance at a medium-low level, and poor market conditions are unlikely to impact our capacity to pay you.

Recommended Holding period

3 year(s)

RETURN (1 YEAR, HUF):

return

3 months-0.90%
6 months0.83%
1 year*6.47%
3 years*-
5 years*-
10 years*-
Year-to-date return0.52%
Return since inception4.20%

Performance of calendar years

20256.13%

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

0.5 year(s)
1
2
3
4
5
6
7
We have classified this product as 1 out of 7, which is the lowest risk class. This rates the potential losses from future performance at a very low level, and poor market conditions are very unlikely to impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 1 out of 7, which is the lowest risk class. This rates the potential losses from future performance at a very low level, and poor market conditions are very unlikely to impact our capacity to pay you.

Recommended Holding period

0.5 year(s)

RETURN (1 YEAR, HUF):

return

3 months0.41%
6 months0.87%
1 year*1.87%
3 years*-
5 years*-
10 years*-
Year-to-date return0.65%
Return since inception2.50%

Performance of calendar years

20252.11%
20243.09%
202314.31 %
20220. 43%
20213.68 %
20209.88 %
20194.18 %
2018-5.82 %
20179.15 %
20162.41 %
20150.66 %

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

0.5 year(s)
1
2
3
4
5
6
7
We have classified this product as 1 out of 7, which is the lowest risk class. This rates the potential losses from future performance at a very low level, and poor market conditions are very unlikely to impact our capacity to pay you.

Risk level

1
2
3
4
5
6
7
We have classified this product as 1 out of 7, which is the lowest risk class. This rates the potential losses from future performance at a very low level, and poor market conditions are very unlikely to impact our capacity to pay you.

Recommended Holding period

0.5 year(s)

RETURN (1 YEAR, HUF):

return

3 months0.28%
6 months0.61%
1 year*1.34%
3 years*-
5 years*-
10 years*-
Year-to-date return0.45%
Return since inception1.98%

Performance of calendar years

20251.59%
20242.58 %
202313.52 %
2022-0.29 %
20213.03 %
20209.14 %
20193.44 %
2018-6.48 %
20178.39 %
20161.70 %

Unit price change

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* Annual and over-year returns are annualized. When annualizing, returns are proportional to the number of days that have passed.

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