ISIN
IE00BDRV5569
Investment Grade
NAV
USDMonthly 100.210
As of 13/3/2025
Objective
The investment objective of the Fund is to seek to provide investors with attractive current income that is consistent with preservation of capital.
Strategy
The Fund will navigate multiple sectors, including low and high grade investment grade income, as well as an increased allocation to high yield, depending on market conditions and attractiveness to generate income. The Fund will invest primarily in an actively managed diversified portfolio of investment grade fixed income instruments which are listed or traded on Recognised Markets.
Fund Facts
Fund Type
UCITS Funds
Inception Date
18/11/2014
Domicile
Ireland
Share Class Information
Dealing Frequency
Daily
Management Charges
1.00%
Valuation Date | NAV |
---|---|
13/3/2025 | 100.210 |
12/3/2025 | 100.430 |
11/3/2025 | 100.520 |
10/3/2025 | 100.690 |
7/3/2025 | 100.760 |
6/3/2025 | 100.680 |
5/3/2025 | 100.860 |
4/3/2025 | 101.070 |
3/3/2025 | 101.150 |
28/2/2025 | 101.190 |
27/2/2025 | 101.170 |
26/2/2025 | 101.170 |
25/2/2025 | 101.080 |
24/2/2025 | 100.970 |
21/2/2025 | 100.900 |
20/2/2025 | 100.770 |
19/2/2025 | 100.720 |
18/2/2025 | 100.790 |
Valuation Date | NAV |
---|---|
13/3/2025 | 100.210 |
12/3/2025 | 100.430 |
11/3/2025 | 100.520 |
10/3/2025 | 100.690 |
7/3/2025 | 100.760 |
6/3/2025 | 100.680 |
5/3/2025 | 100.860 |
4/3/2025 | 101.070 |
3/3/2025 | 101.150 |
28/2/2025 | 101.190 |
27/2/2025 | 101.170 |
26/2/2025 | 101.170 |
25/2/2025 | 101.080 |
24/2/2025 | 100.970 |
21/2/2025 | 100.900 |
20/2/2025 | 100.770 |
19/2/2025 | 100.720 |
18/2/2025 | 100.790 |
14/2/2025 | 100.880 |
13/2/2025 | 100.700 |
12/2/2025 | 100.420 |
11/2/2025 | 100.570 |
10/2/2025 | 100.660 |
7/2/2025 | 100.620 |
6/2/2025 | 100.700 |
5/2/2025 | 100.670 |
4/2/2025 | 100.400 |
31/1/2025 | 100.350 |
30/1/2025 | 100.230 |
29/1/2025 | 100.100 |
28/1/2025 | 100.080 |
27/1/2025 | 100.030 |
24/1/2025 | 100.000 |
Valuation Date | NAV |
---|---|
13/3/2025 | 100.210 |
12/3/2025 | 100.430 |
11/3/2025 | 100.520 |
10/3/2025 | 100.690 |
7/3/2025 | 100.760 |
6/3/2025 | 100.680 |
5/3/2025 | 100.860 |
4/3/2025 | 101.070 |
3/3/2025 | 101.150 |
28/2/2025 | 101.190 |
27/2/2025 | 101.170 |
26/2/2025 | 101.170 |
25/2/2025 | 101.080 |
24/2/2025 | 100.970 |
21/2/2025 | 100.900 |
20/2/2025 | 100.770 |
19/2/2025 | 100.720 |
18/2/2025 | 100.790 |
14/2/2025 | 100.880 |
13/2/2025 | 100.700 |
12/2/2025 | 100.420 |
11/2/2025 | 100.570 |
10/2/2025 | 100.660 |
7/2/2025 | 100.620 |
6/2/2025 | 100.700 |
5/2/2025 | 100.670 |
4/2/2025 | 100.400 |
31/1/2025 | 100.350 |
30/1/2025 | 100.230 |
29/1/2025 | 100.100 |
28/1/2025 | 100.080 |
27/1/2025 | 100.030 |
24/1/2025 | 100.000 |
Valuation Date | NAV |
---|---|
13/3/2025 | 100.210 |
12/3/2025 | 100.430 |
11/3/2025 | 100.520 |
10/3/2025 | 100.690 |
7/3/2025 | 100.760 |
6/3/2025 | 100.680 |
5/3/2025 | 100.860 |
4/3/2025 | 101.070 |
3/3/2025 | 101.150 |
28/2/2025 | 101.190 |
27/2/2025 | 101.170 |
26/2/2025 | 101.170 |
25/2/2025 | 101.080 |
24/2/2025 | 100.970 |
21/2/2025 | 100.900 |
20/2/2025 | 100.770 |
19/2/2025 | 100.720 |
18/2/2025 | 100.790 |
14/2/2025 | 100.880 |
13/2/2025 | 100.700 |
12/2/2025 | 100.420 |
11/2/2025 | 100.570 |
10/2/2025 | 100.660 |
7/2/2025 | 100.620 |
6/2/2025 | 100.700 |
5/2/2025 | 100.670 |
4/2/2025 | 100.400 |
31/1/2025 | 100.350 |
30/1/2025 | 100.230 |
29/1/2025 | 100.100 |
28/1/2025 | 100.080 |
27/1/2025 | 100.030 |
24/1/2025 | 100.000 |
Valuation Date | NAV |
---|---|
13/3/2025 | 100.210 |
12/3/2025 | 100.430 |
11/3/2025 | 100.520 |
10/3/2025 | 100.690 |
7/3/2025 | 100.760 |
6/3/2025 | 100.680 |
5/3/2025 | 100.860 |
4/3/2025 | 101.070 |
3/3/2025 | 101.150 |
28/2/2025 | 101.190 |
27/2/2025 | 101.170 |
26/2/2025 | 101.170 |
25/2/2025 | 101.080 |
24/2/2025 | 100.970 |
21/2/2025 | 100.900 |
20/2/2025 | 100.770 |
19/2/2025 | 100.720 |
18/2/2025 | 100.790 |
14/2/2025 | 100.880 |
13/2/2025 | 100.700 |
12/2/2025 | 100.420 |
11/2/2025 | 100.570 |
10/2/2025 | 100.660 |
7/2/2025 | 100.620 |
6/2/2025 | 100.700 |
5/2/2025 | 100.670 |
4/2/2025 | 100.400 |
31/1/2025 | 100.350 |
30/1/2025 | 100.230 |
29/1/2025 | 100.100 |
28/1/2025 | 100.080 |
27/1/2025 | 100.030 |
24/1/2025 | 100.000 |