NAV30.10.2024 Diff.+0,0020 Ertragstyp Ausrichtung Fondsgesellschaft
2,9660EUR +0,07% ausschüttend Mischfonds Mischfonds/flexibel Azimut Investments 

Investmentstrategie

The Sub-fund's investment objective is to achieve long-term capital growth. The Sub-fund aims to achieve its investment objective by actively managing a portfolio of equities and/or debt securities issued by Turkish companies. The Sub-fund actively manages the allocation between equities and debt securities, based on the expected risk and return between these two asset classes. The equity component will be the main driver of the Sub-fund's performance. The Sub-fund invests up to 100% of its net assets, directly or indirectly, in equity and equity-related securities of Turkish companies. Indirect exposure is obtained by investing in derivatives based on equity securities and/or equity indices. The Sub-fund may invest up to 100% of its net assets in debt securities issued by the Turkish government, supranational institutions or Turkish governmental bodies and/or companies that have their head office and/or that carry out a predominant part of their economic activities in Turkey. The Sub-fund may invest up to 100% of its net assets in debt securities having a sub-investment grade rating. The Sub-fund may also invest up to 25% of its net assets in hybrid, subordinated bond other than contingent convertible bonds (CoCo bonds) and/or perpetual bonds issued by financial and non-financial institutions, and up to 20% of its net assets in CoCo bonds.
 

Investmentziel

The Sub-fund's investment objective is to achieve long-term capital growth. The Sub-fund aims to achieve its investment objective by actively managing a portfolio of equities and/or debt securities issued by Turkish companies. The Sub-fund actively manages the allocation between equities and debt securities, based on the expected risk and return between these two asset classes. The equity component will be the main driver of the Sub-fund's performance.
 

Stammdaten

Ertragstyp: ausschüttend
Fondskategorie: Mischfonds
Land: Türkei
Branche: Mischfonds/flexibel
Benchmark: 50% MSCI TURKEY Net Total Return USD, 50% Return of TLREF (Turkish Lira overnight Reference) rate
Geschäftsjahresbeginn: 01.01
Letzte Ausschüttung: 21.10.2024
Depotbank: BNP Paribas, Luxembourg Branch
Ursprungsland: Luxemburg
Vertriebszulassung: Schweiz, Luxemburg, Tschechien
Fondsmanager: Giorgio Medda, Charles Feghali, Murat Salar, Kutay Ultan
Fondsvolumen: 32,37 Mio.  USD
KESt-Meldefonds: -
Auflagedatum: 17.09.2013
Investmentfokus: -

Konditionen

Ausgabeaufschlag: 0,00%
Max. Verwaltungsgebühr: 1,50%
Mindestveranlagung: 1.500,00 EUR
Weitere Gebühren: -
Tilgungsgebühr: 2,50%
Wesentliche Anlegerinformation: -
 

Fondsgesellschaft

KAG: Azimut Investments
Adresse: Via Cusani, 4, 20121, Milano
Land: Italien
Internet: www.azimut-group.com
 

Veranlagungen

Barmittel und sonstiges Vermögen
 
32,00%
Aktien
 
31,00%
Anleihen
 
29,00%
Mischfonds
 
8,00%

Länder

Türkei
 
68,00%
Sonstige
 
32,00%