ISIN
IE00BF7LH215
Investment Grade
Minimum Investment
AUD 100,000.00
Fund Size
USD 51.20 Million
As of 31/01/2025
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.
Who Should Invest
The Fund is designed for investors seeking to benefit from a strategy that aims to produce income while minimizing fluctuations in capital value.
Risks
The value of investments and the income they provide can fall as well as rise and investors may not get back the amount originally invested. The Fund may use derivatives for investment purposes. These are complex instruments that carry the risk of causing increased volatility in the value of the Fund.
Fund Facts
Fund Type
UCITS Funds
Inception Date
14/11/2014
Domicile
Ireland
Share Class Information
Dealing Frequency
Daily
Management Charges
0.00%
The information available on this website is not an offer to sell or an invitation to apply for this product and is by way of information only, nor is the information available on this website intended as an offering of this product to US Persons. Depending on your jurisdiction, you may not have access to this product. Individual investors should contact their financial advisor before investing in this product. The Key Investor Information Document (KIID), if applicable, must be received and read before investing. All other relevant documents relating to the product such as the Report and Accounts and Prospectus should also be read. The information available on this website does not constitute investment, tax, legal or other advice or recommendation.
As of 31/01/2025
3.51 yrs
5.85
As of 31/01/2025 00:00:00
278.00
As of 31/01/2025 00:00:00
Holding | % of Assets |
---|---|
Mexico United Mexican States Government | 1.72% |
Indonesia Republic Of | 1.70% |
Peru, Government of | 1.64% |
CIFC Asset Management LLC | 1.61% |
Brazil Federative Republic Of Government | 1.17% |
5.75% Senior Unsecured Bond Due November 2032 | 1.14% |
ATHENE HOLDING LTD | 1.00% |
EDF | 0.96% |
British Telecom (BT) | 0.95% |
Goldman Sachs Group Inc | 0.94% |
Total | 12.83% |