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ZB Portfolio 70

ZB Portfolio 70 is a balanced euro-denominated fund which enables investing into government and high-quality corporate bonds and stocks. It also invests a smaller portion into units in investment funds, money market instruments and commercial bank deposits.
Thanks to its balanced securities portfolio structure, a balanced fund is less risky than, for instance, equity funds.

Characteristics:

  • moderate risk
  • preservation and appreciation of the invested funds over a longer period
  • primarily intended for investors with a long-term investment horizon and a higher risk tolerance

Benefits

  1. Payments and withdrawals in the currency of the fund
  2. A simple and quick purchase and sale procedure, purchase of units with no entry fee
  3. A high portfolio diversification, which decreases the risk of the investment value decline                              
  4. A balanced securities portfolio structure - a possibility to realise higher yield provided by stocks, with stability provided by investments into bonds
  5. A possibility to realise higher yield in relation to standard types of saving or bond funds
  6. The Fund has no geographical limits, i.e. it invests globally

Zagrebačka banka will process the personal data entered in the form below for the purpose of arranging a meeting in one of its branches and will keep them for 30 days. If you are a client of Zagrebačka banka, we suggest that you enter your OIB, so the banker could prepare the best financial offers based on the available data.
Read more in the Information on Personal Data Processing.

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