Aktuelle Entwicklung

Konditionen (gültig für easy Wertpapierdepot)

Ausgabeaufschlag 0,00 %
Mindestveranlagung 500.000,00 EUR
Managementgebühr 0,40 %
Annahmeschluss -

Fondsprofil

Fondstyp Rentenfonds
Branche Anleihen Staaten orientiert
Ursprungsland Luxemburg
KESt-Meldefonds Ja
Auflagedatum 21.12.2018
Fondsvolumen 70,45 Mio. EUR
UCITS Ja
Sparplan Nein

Performance

Zeitraum vor AGA nach max. AGA
1 Jahr +15,01 % -
3 Jahre p.a. +13,69 % -
5 Jahre p.a. +1,55 % -
52W Hoch:
132,9000 EUR
52W Tief:
114,6100 EUR

Größte Positionen

USA 25/26 ZO 18,00 %
SAUDIARABIEN 20/55 REGS 5,00 %
AEGYPTEN 18/48 MTN REGS 4,00 %
KATAR 18/48 REGS 4,00 %
Sonstiges 69,00 %

Fonds Prospekte

2026 Verkaufsprospekt (17.04.26)
2026 Basisinformationsblatt (01.01.26)
2025 Halbjahresbericht (30.09.25)
2025 Rechenschaftsbericht (31.03.25)

Fondsstrategie

The Product's investment objective is to outperform its benchmark using discretionary management on all bond markets from emerging countries. The Product's investment strategy consists in constructing a portfolio that represents the Investment Manager's expectations on all bond markets and currencies from emerging countries. Geographic diversification includes the countries of Latin America, Africa, the Middle East, Asia, and Central and Eastern Europe. The objective of the Product is to invest in bonds and Money Market Instruments, for minimum 80% and up to 110% of its net assets. At least 60% of the Product's net assets are permanently invested in emerging debt markets. The Product may invest up to 110% of its net assets in high yield bonds with a rating higher than CCC+ (i.e. with a rating lower than BBB- but higher than CCC+ according to Standard & Poor's, or an equivalent rating). Furthermore, at the discretion of the investment manager, the Product may invest up to 30% of its net assets in high yield bonds with a rating below the limit of B- (according to Standard & Poor's, or an equivalent rating) including up to 10% of its net assets in distressed securities. In the event of a rating downgrade of an issue, the investment manager will act according to his expectations and in the interest of investors and may continue to hold these debt securities which have been downgraded and the 10% limit for investment in distressed securities may be exceeded, up to a maximum of 20% of the Product's net assets.
Fondsmanager: Romain BORDENAVE, MAYOR Stéphane

Notizen

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