Exclusive - EUR Bonds Y EUR dist
LU2127869696
Exclusive - EUR Bonds Y EUR dist/ LU2127869696 /
NAV2024. 11. 04. |
Vált.+0,1300 |
Hozam típusa |
Investment Focus |
Alapkezelő |
136,7700EUR |
+0,10% |
Osztalékfizetés |
Kötvények
Európa
|
J.S.Sarasin Fd.M. LU ▶ |
Befektetési stratégia
The investment objective of Exclusive - EUR Bonds (the "Sub-Fund") is to achieve a regular income while maintaining a balanced risk spread.
The assets of the Sub-Fund are invested worldwide either directly or indirectly in debt instruments that are denominated in euros (EUR) and are fixed or variable income securities (including zero bonds) of public, private and semi-private issuers. At least 85% of the Sub-Fund's investments in debt instruments must have a minimum credit rating of BBB- or equivalent from a recognised rating agency. The Sub-Fund promotes environmental and social characteristics according to SFDR Art. 8, but does not have a sustainable investment objective according to SFDR Art. 9. The Sub-Fund is actively managed without replicating any benchmark. However, the Sub-Fund is managed with reference to ICE BofA EUR Broad Market 1-10Y Index (the "Benchmark"). Generally, the majority of the positions within the Sub-Fund are constituents of the Benchmark. In order to exploit specific investment opportunities the investment manager may discretionarily select securities not included in the Benchmark. In addition, the investment manager integrates sustainability aspects which lead to an exclusion of investable Benchmark components.
Befektetési cél
The investment objective of Exclusive - EUR Bonds (the "Sub-Fund") is to achieve a regular income while maintaining a balanced risk spread.
Törzsadatok
Hozam típusa: |
Osztalékfizetés |
Alapok Kategória: |
Kötvények |
Régió: |
Európa |
Ágazat: |
Kötvények (többféle) |
Benchmark: |
ICE BofA 1-10 Year Euro Broad Market Index |
Üzleti év kezdete: |
02. 29. |
Last Distribution: |
2024. 06. 13. |
Letétkezelő bank: |
CACEIS Investor Services Bank S.A. |
Származási hely: |
Luxemburg |
Elosztás engedélyezése: |
Csehország |
Alapkezelő menedzser: |
F. Weber, M. Gasparis, B. Robaux |
Alap forgalma: |
310,09 mill.
EUR
|
Indítás dátuma: |
2021. 04. 27. |
Befektetési fókusz: |
- |
Feltételek
Kibocsátási felár: |
0,00% |
Max. Administration Fee: |
0,15% |
Minimum befektetés: |
0,00 EUR |
Deposit fees: |
0,10% |
Visszaváltási díj: |
0,00% |
Egyszerűsített tájékoztató: |
- |
Eszközök
Kötvények |
|
98,64% |
Készpénz |
|
1,36% |
Országok
Európa |
|
98,64% |
Készpénz |
|
1,36% |