The sub-fund’s investment strategy is not limited to buying and holding bonds: while the management company will typically hold its securities to maturity, it may carry out arbitrage transactions if it identifies issuers in the portfolio with a higher risk of default and/or if new market opportunities occur, in order to optimise the portfolio's average yield to maturity. the credit risk exposure strategy will be implemented via direct investment. The sub-fund will invest 80%-100% of its net assets in bonds with fixed, variable or adjustable rates, and other negotiable debt securities, inflation-linked bonds, issued by private corporations and/or supranational/public entities or governments and medium-term notes, with a maximum of 10% of net assets invested in convertible bonds. At least 80% of net assets shall be invested in EUR-denominated securities.
Rentabilidad anual |
1 año |
3 años |
5 años |
Inicio |
2024 |
2023 |
2022 |
2021 |
2020 |
Rentabilidad anual: Fondo |
1 año: 9,30 |
3 años: - |
5 años: - |
Inicio: 6,78 |
2024: 3,63 |
2023: 10,30 |
2022: - |
2021: - |
2020: - |
Rentabilidad anual: Categoría |
1 año: - |
3 años: - |
5 años: - |
Inicio: -
| 2024: - |
2023: - |
2022: - |
2021: - |
2020: - |
Rentabilidad anual: Percentil |
1 año: - |
3 años: - |
5 años: - |
Inicio:-
| 2024: - |
2023: - |
2022: - |
2021: - |
2020: - |
Riesgo |
Volatilidad |
Ratio Sharpe |
Correlación |
Beta |
Alfa |
Tracking error |
Info Ratio |
Riesgo: 3 años |
1 Volatilidad: - |
3 Ratio Sharpe: - |
5 Correlación: - |
Beta: - |
Alfa: - |
Tracking error: - |
Info Ratio: - |
Fuente: Morningstar.
Datos en euros.
Categoría: Fixed Term Bond. Fecha: 2024-09-12
Fuente: Morningstar.
Datos en euros.
Categoría: Fixed Term Bond. Fecha: 2024-09-12