The investment objective of the Sub-Fund is to provide a combination of income and growth through investing principally in Debt and Debt-Related Securities with fixed or variable rates of income. The Sub-Fund shall invest principally in Debt and Debt-Related Securities with fixed or variable (linked to inflation or other indices) rates of income, issued by corporations, limited liability companies, limited partnerships, sovereign, government agencies, supranational or other issuers, which are listed or traded on Recognised Exchanges. In addition to direct investment in Debt and Debt-Related Securities, the Sub-Fund may also gain exposure to Debt and Debt Related Securities indirectly through investment in financial derivative instruments.
Rentabilidade anual | 1 ano | 3 anos | 5 anos | Início | 2024 | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|---|---|---|---|---|
Rentabilidade anual: Fundo | 1 ano: 11,96 | 3 anos: 1,51 | 5 anos: 3,45 | Início: 4,45 | 2024: 10,44 | 2023: 5,40 | 2022: -9,97 | 2021: 9,48 | 2020: 2,91 |
Rentabilidade anual: Categoria | 1 ano: 8,75 | 3 anos: 1,65 | 5 anos: 1,54 | Início: - | 2024: 7,20 | 2023: 4,50 | 2022: -5,80 | 2021: 4,36 | 2020: -1,16 |
Rentabilidade anual: Percentil | 1 ano: 14,00 | 3 anos: 49,00 | 5 anos: 26,00 | Início:- | 2024: 25,00 | 2023: 37,00 | 2022: 70,00 | 2021: 12,00 | 2020: 11,00 |
Risco | Volatilidade | Rácio de Sharpe | Correlação | Beta | Alfa | Tracking error | Rácio de informação |
---|---|---|---|---|---|---|---|
Risco: 3 anos | 1 Volatilidade: 7,05 | 3 Rácio de Sharpe: -0,62 | 5 Correlação: 87,06 | Beta: 0,73 | Alfa: 1,58 | Tracking error: 4,59 | Rácio de informação: 0,84 |
Fonte: Morningstar.
Dados em euros.
Categoria: Global Flexible Bond. Data: 2024-12-04
Fonte: Morningstar.
Dados em euros.
Categoria: Global Flexible Bond. Data: 2024-12-04