UBAM-Dynamic US Dollar Bd.I USD
LU0132662122
UBAM-Dynamic US Dollar Bd.I USD/ LU0132662122 /
NAV30/10/2024 |
Chg.+0.0010 |
Type of yield |
Investment Focus |
Investment company |
104.0180USD |
0.00% |
paying dividend |
Bonds
Worldwide
|
UBP AM (EU) ▶ |
Investment strategy
The Fund seeks to grow capital and generate income by investing primarily in investment grade bonds with a minimum rating of BBB- (S&P or Fitch) or Baa3 (Moody"s). The Fund can invest in interest rate and credit derivatives. The Fund is actively managed and invests mainly in USD denominated securities. The Fund may invest up to 15% of its net assets in non-rated products/issuers.
A minimum of 50% of the bond investments will be in issuers deemed to maintain sustainable characteristics with a minimum Environmental, Social and Governance (ESG) rating of BBB for developed market issuers and BB for emerging market issuers as measured by MSCI ESG research or if such rating is not available an equivalent internal rating assigned by the Investment Manager. ESG investment strategy is based on three pillars: (i) Sector exclusion according to the UBP Responsible Investment policy, (ii) ESG integration to select issuers through the analysis of environmental, social and governance factors, (iii) a preference for Green, Social and Sustainability bonds. The Fund uses to the SOFR Overnight Rate (the "Benchmark") for performance comparison. The Benchmark is not representative of the risk profile of the Fund and the performance of the Fund is likely to be significantly different from that ot the Benchmark because the Investment Manager has significant discretion to deviate from its securities and weighting.
Investment goal
The Fund seeks to grow capital and generate income by investing primarily in investment grade bonds with a minimum rating of BBB- (S&P or Fitch) or Baa3 (Moody"s). The Fund can invest in interest rate and credit derivatives. The Fund is actively managed and invests mainly in USD denominated securities. The Fund may invest up to 15% of its net assets in non-rated products/issuers.
Master data
Type of yield: |
paying dividend |
Funds Category: |
Bonds |
Region: |
Worldwide |
Branch: |
Bonds: Mixed |
Benchmark: |
SOFR Overnight Rate |
Business year start: |
01/01 |
Last Distribution: |
02/05/2024 |
Depository bank: |
BNP Paribas Securities Services Lux. |
Fund domicile: |
Luxembourg |
Distribution permission: |
Austria, Germany, Switzerland, Luxembourg, Czech Republic |
Fund manager: |
Philippe Gräub, Olivier Buhler |
Fund volume: |
1.71 bill.
USD
|
Launch date: |
09/01/2017 |
Investment focus: |
- |
Conditions
Issue surcharge: |
3.00% |
Max. Administration Fee: |
0.15% |
Minimum investment: |
- USD |
Deposit fees: |
- |
Redemption charge: |
0.00% |
Key Investor Information: |
Download (Print version) |
Investment company
Funds company: |
UBP AM (EU) |
Address: |
96-98, rue du Rhône, 1211, Geneva |
Country: |
Switzerland |
Internet: |
www.ubp.ch
|
Countries
United States of America |
|
44.73% |
United Kingdom |
|
11.68% |
Canada |
|
9.58% |
Netherlands |
|
7.04% |
France |
|
5.49% |
Japan |
|
4.86% |
Australia |
|
3.61% |
Sweden |
|
1.96% |
Spain |
|
1.86% |
Cash |
|
1.35% |
Switzerland |
|
1.09% |
Finland |
|
1.06% |
Germany |
|
1.00% |
Ireland |
|
0.80% |
Others |
|
3.89% |
Currencies
US Dollar |
|
98.65% |
Others |
|
1.35% |