Teznia Financial Corp. manages three funds and strictly adheres to the investment
policies governing them.
TEZNIA™
EQUITY FUNDS
• The company invests only in businesses that are thoroughly analyzed and understood.
• We buy companies with a strong history of profitability and dominant business franchises.
• Teznia always determines before investing if the management of the targeted
company is open and honest with its shareholders.
• We do not gamble or engage in speculative activities;
we always invest for the long term.
• Our research always places the targeted company and its products in
the global context. We believe that successful investing is based on several important factors, such as choosing the right
company and having accurate forecasts for economic growth, social and political trends, interest rates, inflation, as well
as prices of commodities and manufactured products.
• For cyclical and growth stocks, we establish price
targets to sell them. TEZNIA™ BOND FUNDS
• The company invests only in at least A-rated bonds.
• We buy actual bonds, not indexes.
• Our policy is to hold bonds to maturity, or sell before
maturity if substantial capital gains can be realized. TEZNIA™ OTHER
FIXED-INCOME FUNDS
• The selection of fixed-income financial instruments for these funds is based
on suitability and credit risk.
• The fixed-income instruments considered for Teznia™ Other Fixed-Income
Funds include T-Bills, Banker's Acceptances, Commercial Paper, Mortgage-backed Securities, and Non-convertible Preferred Shares.
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