Funds and prices
Overview
The actively managed fund invests globally across sectors, mainly in floating rate, high yield corporate and securitized bonds denominated in various currencies.
The portfolio management team combines different bond instruments in line with their investment views with the aim to reduce interest rate risk, enhance income potential, diversify credit risk and manage liquidity.
At fund level, any non-USD currency exposure is hedged back to USD.
This fund is not managed in reference to any benchmark.
Benefits
Investors gain access to a globally diversified portfolio with reduced interest rate risk and attractive income potential as the key objective.
Risks
Features
Product category |
ÃÛ¶¹ÊÓÆµ Bond Funds
ÃÛ¶¹ÊÓÆµ High Yield Funds |
Product domicile |
Luxembourg
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Portfolio management |
ÃÛ¶¹ÊÓÆµ Asset Management (Americas) LLC, New York
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Fund management |
ÃÛ¶¹ÊÓÆµ Fund Management (Luxembourg) S.A., Luxembourg
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Custodian bank |
ÃÛ¶¹ÊÓÆµ Europe SE, Luxembourg Branch
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Representative for products established under foreign law |
ÃÛ¶¹ÊÓÆµ Fund Management (Switzerland) AG
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Day of inception |
November 2, 2018
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Currency of account |
USD
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Close of financial year |
May 31
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Issue / redemption |
daily
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Maturity |
Open end
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Management fee |
0.60% p.a.
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Total expense ratio (TER) |
0.80% p.a.
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Swing pricing |
yes
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Minimum investment |
n.a.
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Cut-Off Time |
15:00h (CET)
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Securities no. |
43915879
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ISIN |
LU1891428382
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Bloomberg Ticker |
ÃÛ¶¹ÊÓÆµFRQM LX
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Performance and Prices
Percentage growth
as of April 3, 2024USD(%) | CHF(%) | EUR(%) | |
YTD | 2.54 | 10.37 | 4.67 |
1M | |||
3M | |||
6M | |||
1Y | |||
2Y | 14.20 | 3.89 | 10.34 |
3Y | |||
5Y | 26.58 | 15.02 | 31.34 |
ø p.a.5Y | 4.83 | 2.84 | 5.60 |
Current data
Net asset value | 03.04.2024 | USD 101.96 |
High - last 12 months | 13.03.2024 | USD 102.38 |
Low - last 12 months | 19.04.2023 | USD 93.38 |
Last distribution | 20.03.2024 | USD 0.38 |
Assets of the unit class in mn | 03.04.2024 | USD 0.25 |
Total product assets in mn | 03.04.2024 | USD 177.36 |
Theoretical yield to maturity (net) | 29.02.2024 | 8.56% |
Option Adjusted Duration | 29.02.2024 | 0.23 |
Average remaining maturity | 29.02.2024 | 1.42 years |
Structures
Fees
Distributions
Date of distribution
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Pay date
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Cps no.
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Currency
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Distribution
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17.04.2023 | 20.04.2023 | 53 | USD | 0.35 | 15.05.2023 | 18.05.2023 | 54 | USD | 0.35 | 15.06.2023 | 20.06.2023 | 55 | USD | 0.36 | 17.07.2023 | 20.07.2023 | 56 | USD | 0.36 | 16.08.2023 | 21.08.2023 | 57 | USD | 0.37 | 15.09.2023 | 20.09.2023 | 58 | USD | 0.37 | 16.10.2023 | 19.10.2023 | 59 | USD | 0.37 | 15.11.2023 | 20.11.2023 | 60 | USD | 0.37 | 15.12.2023 | 20.12.2023 | 61 | USD | 0.37 | 16.01.2024 | 19.01.2024 | 62 | USD | 0.38 | 15.02.2024 | 20.02.2024 | 63 | USD | 0.38 | 15.03.2024 | 20.03.2024 | 64 | USD | 0.38 |
Authorisations
Literature
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Prospectus |
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Key Information Document |
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Past performance |
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Previous performance scenario |
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Statutes / Management regulations |
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Annual report |
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Semi-annual report |
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ÃÛ¶¹ÊÓÆµ Funds - Your funds at a glance |
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Tax list |
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