ISIN
IE00BPFJN304
Investment Grade
Minimum Investment
JPY 100,000.00
Fund Size
USD 48.80 Million
As of 31/03/2025
Fund Facts
Fund Type
UCITS Funds
Inception Date
18/11/2014
Domicile
Ireland
Share Class Information
Dealing Frequency
Daily
Management Charges
0.60%
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As of 31/03/2025
3.44 yrs
6.36
As of 31/03/2025 00:00:00
262.00
As of 31/03/2025 00:00:00
Holding | % of Assets |
---|---|
CIFC Asset Management LLC | 1.66% |
Peru, Government of | 1.52% |
Indonesia Republic Of | 1.51% |
Mexico United Mexican States Government | 1.50% |
BARCLAYS PLC | 1.25% |
Brazil Federative Republic Of Government | 1.25% |
5.75% Senior Unsecured Bond Due November 2032 | 1.20% |
British Telecom (BT) | 1.01% |
EDF | 0.99% |
Goldman Sachs Group Inc | 0.98% |
Total | 12.87% |