Fixed Income High Yield USD

(Investment fund containing diversified portfolio of high-yield bonds)

The Subfund has been established for the purpose of receiving high yield in the long-term perspective. The Subfund provides an opportunity of achieving high income on the long-term time horizon for its investors, by investing in speculative debt securities with the credit rating below the investment level.

The time horizon of the potential investor is from the mid- to long-term (over three years), the risk tolerance is high.

The Subfund investors can be both private individuals and legal entities.

Basic Information

Name of the Subfund Rietumu Asset Management Fund - Fixed Income High Yield USD
ISIN LV0000400893
Stock Ticker Symbol RAMIHUFR
Date of Establishment 12 September 2014
Registration Place Latvia
Status Open
Currency USD (US dollar)
Price Calculation Daily
Purchase Commission 0.35%
Sale Commission 0.0%
Management Fee 1.00% (per annum)
Custody fee 0.25% (per annum)
Custodian bank Rietumu Banka
Auditor SIA BDO Assurance
Financial year 31 December
The minimum investment amount 1 000,00 USD

Table with the Value of Fund

Fixed Income High Yield Fund USD
1 day
1 month
3 month
1 year


Show data for the period:


Investment certificates of the Rietumu Asset Management investment funds are distributed by Rietumu Bank.

  • The client must have current and investment accounts open in Rietumu Bank.
  • The client completes the standard TRANSACTION FULFILMENT ORDER of Rietumu Bank by providing Identification data of the Investor ( First name, surname, passport number or personal identity number of the Investor – for private individuals; name and registration number of the Investor – for legal entities;), Current account number of the Investor; Number of the financial instruments account and the cash account of the Investor; Type of order (purchase); Name of the Fund; Cash amount for the acquisition of investment certificates of the Fund.
  • The client submits to Rietumu Bank
  • Funds are debited from the cash account and credited to the investment account, becoming shares of the Fund

The cost of shares of all Funds of Rietumu Asset Management is revalued every business day. Information about the Fund value is published on by 12:00 Latvian time.

When Rietumu Asset Management receives and registers the client’s order for the purchase / sale of the Fund’s shares by 15:00 Latvian time, the order shall be fulfilled in accordance with the price calculated on the day of receipt of the order. When Rietumu Asset Management receives and approves the client’s order after 15:00 Latvian time, the order shall be considered as received on the next business day.

Risk Profile

Low risk   High risk
1 2 3 4 5 6 7
Low expected return   High expected return

The synthetic indicator shows the Sub-fund risk category based on the Sub-fund return fluctuation indices during the previous five years.

To calculate the synthetic indicator for the period when there is no Sub-fund information available, the benchmark return data are used. The benchmark is: The benchmark is: Bloomberg Barclays High Yield Very Liquid Index USD.

The Sub-fund is included in the fourth risk category, as the historical year fluctuation of the Sub-fund return data is within the interval of 5.0% to 10.0%. Historical data of the synthetic indicator cannot be a safe performance index in the future. The indicated risk category is not guaranteed and can change in the course of time.

Important Information

There is no guarantee that the Subfund will reach its investment goals, and even the figures of previous operations cannot serve as an indicator of future income.