英文摘要 |
Affected by political uncertainty and increased geopolitical risks in the major economies, the global financial market was volatile in 2017. Fortunately, the world economy, on the whole, turned out to be in good shape and these events did not have serious consequences. Financial planning in 2017 was focused on securing the principal and maintaining an abundant liquidity of the fund. Our main goal was to achieve stability and continuous income through fixed-income instruments supplemented by risk-bearing instruments. |