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RU000A104XQ4 - The First - Mixed Assets with Dividends Fund (RU000A104XQ4)

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(%)
Open-End Investment Funds (OIF)
Type of fund
Formed
Status
First Asset Management
Provider
3.35 %
Total Cost Ratio
Multi Asset
Investment category
Undefined
Sector
Russia
Investor locations
No
Qualified investor
50,126.84 RUB
NAV per Share | 19/06/2026
48,129.92 mln RUB
Share Class NAV | 19/06/2026
14/06/2022
Inception Date
RU000A104XQ4
RU000A104XQ4 ISIN
4 times per year
Dividend payments
CMOXXU
CFI
RU000A104XQ4
Ticker
Active
Management Style
Physical
Replication method
No
UCITS

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Price dynamics

Fund profile

The fund strategy is to invest primarily in bonds and shares of Russian issuers denominated in Russian rubles, in shares and depositary receipts of foreign issuers whose main economic activity is carried out in Russia, in claims under repo agreements, the subject of which are bonds, and in clearing certificates of participation through the conclusion of repo agreements, as well as investing in other assets. The indicator in relation to which the Provider evaluates the investment strategy effectiveness: 50% * growth of the SBERDVRW index + 50% * growth of the RUCBTRAAANS index, where: SBERDVRW - Sber Dividend Yield Index; RUCBTRAAANS - Moscow Exchange Corporate Bond Index.

RU000A104XQ4 profile

The The First - Mixed Assets with Dividends Fund is a(n) Multi Asset Open-End Investment Funds (OIF) seeks to invest in Undefined sector located in Russia. The First Asset Management fund’s base currency is RUB and the share class was registered 14.06.2022 with unique ISIN - RU000A104XQ4. Main exchange is Moscow Exchange and ticker symbol is RU000A104XQ4. The total expense ratio is 3.35%. The The First - Mixed Assets with Dividends Fund pays dividends 4 time(s) per year.

Structure RU000A104XQ4 on 29/05/2026

Paper Value
Russia, 26248 (OFZ-PD, SU26248RMFS3) 12.16%
Sberbank, ord. [RU0009029540] 9.65%
Lukoil, ord. [RU0009024277] 6.19%
Polyus, ord. [RU000A0JNAA8] 6.19%
NOVATEK, ord. [RU000A0DKVS5] 5.7%
Ozon, ord. [RU000A10CW95] 4.99%
T-Technologies, ord. [RU000A107UL4] 3.63%
Russia, 26246 (OFZ-PD, SU26246RMFS7) 3.54%
Headhunter, ord. [RU000A107662] 3.37%
X5 Finance, 003P-03 3.02%
Tatneft, ord. [RU0009033591] 2.83%
Transneft, pref. [RU0009091573] 2.82%
Gazprom, ord. [RU0007661625] 2.69%
Russia, 26247 (OFZ-PD, SU26247RMFS5) 2.68%
Corporate Center X 5, ord. [RU000A108X38] 2.43%
Alfa-Bank, 002P-25 2.11%
Sovcombank, ord. [RU000A0ZZAC4] 1.99%
RZD, 001P-32R 1.92%
International company JSC Yandex, ord. [RU000A107T19] 1.83%
Surgutneftegas, pref. [RU0009029524] 1.61%
Norilsk Nickel, ord. [RU0007288411] 1.44%
Novabev Group, BO-P05 1.37%
RUSGIDRO, BO-P06 1.36%
AFK Sistema, ord. [RU000A0DQZE3] 1.28%
RUSAL, ord. [RU000A1025V3] 1.22%
Gazprom Capital, BO-002P-11 1.14%
VEB.RF, PBO-002P-33 1.11%
SOVKOMFLOT, ord. [RU000A0JXNU8] 1.11%
Magnit, ord. [RU000A0JKQU8] 1.07%
MTS, ord. [RU0007775219] 0.79%
Russia, 26230 (OFZ-PD, SU26230RMFS1) 0.62%
Russia, 26233 (OFZ-PD, SU26233RMFS5) 0.6%
Gazprom Capital, 07 0.58%
VTB Bank (PAO), ord. [RU000A0JP5V6] 0.47%
NLMK, ord. [RU0009046452] 0.42%
Severstal, ord. [RU0009046510] 0.41%
Kazakhstan, 11 0.37%
TransMashHolding, PBO-07 0.36%
Russia, 26245 (OFZ-PD, SU26245RMFS9) 0.3%
Slavneft, 002P-04 0.23%
Russian Post, BO-002P-03 0.21%
MMK, ord. [RU0009084396] 0.2%
Gazprom Capital, BO-002P-09 0.19%
VEB.RF, PBO-002P-36 0.16%
Mechel, pref. [RU000A0JPV70] 0.14%
RUSGIDRO, BO-P10 0.1%
GRUPPA RUSAGRO, ord. [RU000A0JQUZ6] 0.08%
LSR Group, 001P-07 0.07%
Sinara-Transport Machines, 001P-02 0.05%
MTS, 002P-12 0.05%
Russian Post, BO-002P-02 0.05%
INTER RAO, ord. [RU000A0JPNM1] 0.04%
Federal Passenger Company, 001P-05 0.04%
Inarctica, 002P-04 0.03%
Moscow Exchange, ord. [RU000A0JR4A1] 0%
Mechel, ord. [RU000A0DKXV5] 0%
Gazprom Neft, ord. [RU0009062467] 0%
ROS AGRO plc, GDR [US7496552057] 0%
X5 Retail Group, GDR [US98387E2054] 0%
Other - %

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