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Synergy-3


Open joint-stock company closed-end non-diversified corporate investment fund SYNERGY-3

strategy:

risky

investor:

suits best the investors willing to take risks for receiving high returns

portfolio:

blue chips”, prevailingly shares of industrial companies of the leading sectors of domestic economy, including “second- tier” companies

benefits:

advantages of maximum appreciation of capital through investment in undervalued Ukrainian equities with growth potential higher than market average

beginning of placement:

May 23, 2006

par value:

10 000 UAH

termination date:

April 30, 2009

SYNERGY-3 fund continues the sequence of SYNERGY funds managed by KINTO. The objective of the fund is maximum appreciation of capital through medium-term investment into Ukrainian equities with growth potential higher than market average.
SYNERGY-3 fund adheres to the risky strategy, investing from 50% to 100% of its funds into the equities of local issuers. SYNERGY-3 fund’s assets are allocated in the shares of industrial companies of leading sectors of domestic economy: electricity, machine building and metallurgy, as well as in the new sectors, namely: financial, services, food and processing industries.

The similar strategy was successfully implemented by the fund’s successors, the first in Ukraine public SYNERGY equity fund which demonstrated averaged annual return of 99.8% for 3 years of its activity (2003-2006), and currently operating SYNERGY-2 fund which shows 50% averaged annual return for 18 months of its activity.

The shares of SYNERGY-3 are listed in PFTS (ticker - IFSNR3).

The fund is open for legal entities and individuals.

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