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Investment funds

AI Tezaur

Aviva Investors Tezaur - Standard money market fund*

You can invest online in AI Tezaur, through DirectInvest.ro


The mutual fund Aviva Investors Tezaur addresses investors who are willing to accept a minimum investment risk.

Aviva Investors Tezaur mobilises financial resources from natural persons as well as companies, and invests them according to the principle of risk diversification and prudential administration principle in order to keep a maximum liquidity.
Aviva Investors Tezaur aims to protect the invested amounts, and to obtain growth for its investors.
The strategic objective of Aviva Investors Tezaur is to obtain performances comparable to the bank deposit interest rates, while maintaining high liquidity for the investors.

Through its investment policy, the fund assets are invested in the following instruments:
  • treasury bills, municipal and corporate bonds,
  • short and medium term deposits.
FDI Aviva Investors Tezaur is an alternative to current accounts, and as such, has a short term investment horizon.

There are no subscription or redemption fees. Details

The performance of AI Tezaur  is measured according to GIPS® standards. Read the certification letter.


Read the fund prospectus before investing in this fund.
Previous performance is not a guarantee for future results.

*according to the new EFAMA fund classification standards



Compare funds evolution
  Period
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Net asset value per share (29.07.2010)
unit value to date: 65,28 lei
growth in the last 12 months: 8,04%
annualized growth in the last month*: 10,00%
* relative to 29.06.2010

Fund Manager

Luiza Buzea

email >
+4021 203 14 10

With an MA in Business Administration from the Academy of Economic Studies in Bucharest, and candidate for CFA, Luiza exploits the opportunities on the money market, treasury bills and corporate bonds market through active management to deliver consistent outperformance within a portfolio’s risk guidelines.

Legal details

The open-end fund Aviva Investors Orizont was authorised through the National Securities Commission's decision no. 626 from February 2nd 2004, and is registered in the National Securities Commission under no. CSC06FDIR /400013 from February 2nd 2004
The fund depositary is BCR.