Rentenfonds • Renten Emerging Markets

Anlageschwerpunkt Aristea Sicav - Fim Gem Debt Fund - R EUR ACC

WKN
A3D7GX
Emittent
Guinness Asset Management Ltd
ISIN
LU2160955022
KVG
90,488 EUR
-0,456 EUR-0,50 %
Geld
90,488 EUR
Brief
90,488 EUR
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Fondsvolumen
48,75 Mio. USD
Ausgabeaufschlag
Laufende Kosten
2,61 %
Morningstar-Rating
Ertrags­ver­wendung
Thesaurierend
Morningstar ESG-Rating

Zusammensetzung nach Land

Emerging Markets
Stand:
  • Emerging Markets (100,0 %)

Zusammensetzung nach Instrument

Anleihen
Stand:
  • Anleihen (100,0 %)

Top Holdings zu Aristea Sicav - Fim Gem Debt Fund - R EUR ACC

Hier stehen normalerweise die Top Holdings des Fonds Aristea Sicav - Fim Gem Debt Fund - R EUR ACC. Aktuell liegen sie uns für diesenFonds nicht vor. Solltest du Interesse an den Top Holdings haben, informiere uns bitte über unser Kontaktformular. Wir prüfen gerne, ob wir diese Daten erhalten können.
Stand:

Fondsstrategie zu Aristea Sicav - Fim Gem Debt Fund - R EUR ACC

We aim to provide you with growth in your capital over the long term. We mainly invest in bonds (loans) issued by companies and/or governments located or having significant business in Emerging and Frontier Markets (Global Emerging Markets). The latter are less developed than Emerging Markets, which are defined by the International Monetary Fund. We invest more than 51% of the net assets of the Fund (the 'Fund Assets') in Global Emerging Markets bonds. No more than 20% of the Fund Assets are invested in China or Russia. We invest more than 51% of the Fund Assets in 'hard' currencies (e.g. USD, EUR, etc., as defined in the Fund's Prospectus). We may invest up to 30% of the Fund Assets in instruments issued by issuers from advanced economies. We may also invest in Structured Products (as defined in the Fund's Prospectus) up to 20% of the Fund Assets. 10% maximum of the latter may be invested in shares or in investment Funds. We may invest in complex financial instruments with the aim of protecting the value of your portfolio or to increase the level of our investments. Such complex financial instruments may have a significant influence on the return of the Fund. We take investment decisions on the basis of our qualitative and quantitative analysis. It is supported by high level conviction on markets, unconstrained allocation across asset classes and Fundamental analysis. This Fund is actively managed, meaning that the investment manager has, subject to the stated investment objectives and policy, discretion over its portfolio, with no reference or constraint to any benchmark.