The Sub-fund’s investment objective is long-term total return to be achieved by investing at least 90% of assets in Euro denominated debt and debt-related securities issued by corporations and governments, including sub-sovereigns, inflation-linked, convertible, asset backed and mortgage backed bonds. At least 80% of the Sub-fund’s assets will be invested in investment grade debt and debt-related securities issued by corporations and denominated in Euros. The Sub-fund may invest up to 20% of its assets in sub-investment grade debt and debt-related securities. The Sub-fund may also hold convertible bonds and other bonds (e.g. supranational, governmentbacked and index-linked bonds) issued worldwide. The Sub-fund is actively managed. The Sub-fund aims to outperform the iBoxx Euro Corporates Index (EUR) before charges. The benchmark is also used as a reference point for portfolio construction and as a basis for setting risk constraints, but does not incorporate any sustainable criteria.
Rentabilidade anual |
1 ano |
3 anos |
5 anos |
Início |
2024 |
2023 |
2022 |
2021 |
2020 |
Rentabilidade anual: Fundo |
1 ano: 7,67 |
3 anos: -0,83 |
5 anos: -0,17 |
Início: 1,95 |
2024: 5,70 |
2023: 8,59 |
2022: -14,55 |
2021: -1,60 |
2020: 2,63 |
Rentabilidade anual: Categoria |
1 ano: 7,10 |
3 anos: -0,70 |
5 anos: 0,03 |
Início: -
| 2024: 5,31 |
2023: 7,72 |
2022: -13,37 |
2021: -0,97 |
2020: 2,15 |
Rentabilidade anual: Percentil |
1 ano: 24,00 |
3 anos: 48,00 |
5 anos: 55,00 |
Início:-
| 2024: 30,00 |
2023: 24,00 |
2022: 70,00 |
2021: 77,00 |
2020: 38,00 |
Risco |
Volatilidade |
Rácio de Sharpe |
Correlação |
Beta |
Alfa |
Tracking error |
Rácio de informação |
Risco: 3 anos |
1 Volatilidade: 6,75 |
3 Rácio de Sharpe: -0,41 |
5 Correlação: 98,15 |
Beta: 0,97 |
Alfa: 0,28 |
Tracking error: 1,27 |
Rácio de informação: 0,30 |
Fonte: Morningstar.
Dados em euros.
Categoria: EUR Corporate Bond. Data: 2024-12-06
Fonte: Morningstar.
Dados em euros.
Categoria: EUR Corporate Bond. Data: 2024-12-06