The fund's strategy lies in a thorough selection of
government and corporate eurobonds of
developed, as well as emerging markets and
managing the portfolio using market instruments
and borrowed funds. The targeted investment
horizon is mid- to long-term.
The Fund increases portfolio assets by borrowing short-term funds at lower rates and investing in high-yield medium to long-term government bonds, magnifying returns on committed capital. Assets are refinanced through repurchase agreements with Armenian commercial banks, leveraging Armenia’s favorable macroeconomic conditions.