Rentenfonds • Renten Total Return/Absolute Return

Anlageschwerpunkt Ashmore SICAV Emerging Markets Total Return Fund - Retail GBP DIS H

WKN
ISIN
KVG
Ashmore Investment Management Ireland Ltd
ISIN

65,446 EUR
+0,165 EUR+0,25 %
Geld
65,446 EUR
Brief
65,446 EUR
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Fondsvolumen
248,44 Mio. USD
Ausgabeaufschlag
5,00 %
Laufende Kosten
1,98 %
Morningstar-Rating
Ertrags­ver­wendung
Ausschüttend
Morningstar ESG-Rating

Zusammensetzung nach Land

USAVenezuelaMexikoIndonesienMalaysiaSüdafrikaBrasilienPolenIndienPeruKayman InselnKolumbienTürkeiRumänienDominikanische RepublikChilePhilippinenÄgyptenUngarnArgentinienOmanUruguayElfenbeinküstePanamaChinaNigeriaThailandGhanaAngolaSaudi-ArabienTschechienKasachstanVereinigte Arabische EmirateBahrainUsbekistanCosta RicaUkraineMarokkoPakistanAserbaidschanEcuadorLuxemburgParaguayBarmittelKatarSupranationalBeninJungferninseln (British)GuatemalaSambiaSerbienMongoleiEl SalvadorArmenienJordanienKeniaJamaikaAsien
Stand:
  • USA (10,0 %)
  • Venezuela (9,5 %)
  • Mexiko (6,3 %)
  • Indonesien (5,6 %)

Zusammensetzung nach Instrument

AnleihenBarmittel
Stand:
  • Anleihen (99,3 %)
  • Barmittel (0,4 %)

Zusammensetzung nach Währung

währungsgesichert
Stand:
  • währungsgesichert (100,0 %)

Top Holdings zu Ashmore SICAV Emerging Markets Total Return Fund - Retail GBP DIS H

WertpapiernameAnteil
USA 24/25 ZO10,00 %
PETROLEOS D VEN.16/20REGS6,77 %
BRAZIL 24/30 ZO
Anleihe · WKN A4SGZM · ISIN BRSTNCLTN8A7
2,34 %
MALAYSIA 22/29
Anleihe · WKN A3K454 · ISIN MYBMK2200030
1,07 %
Mexiko MN-Bonos 2009(29)
Anleihe · WKN A0T7CM · ISIN MX0MGO0000H9
0,85 %
MALAYSIA 23/28
Anleihe · WKN A3LHKN · ISIN MYBMI2300024
0,85 %
Petróleos Mexicanos (PEMEX) DL-M.-T. Nts 2017(17/47)
Anleihe · WKN A19BVE · ISIN US71654QCC42
0,79 %
KOLUMBIEN 21/31 B
Anleihe · WKN A3KT90 · ISIN COL17CT03771
0,76 %
Argentinien, Republik DL-Bonds 2020(20/24-30)
Anleihe · WKN A282B2 · ISIN US040114HS26
0,75 %
PERU 25/35
Anleihe · WKN A4ECJ7 · ISIN PEP01000C5K6
0,75 %
Summe:24,93 %
Stand:

Fondsstrategie zu Ashmore SICAV Emerging Markets Total Return Fund - Retail GBP DIS H

The Sub-Fund's objective is to seek capital appreciation by investing in a range of diversified transferable securities and/or other liquid financial assets. The Sub-Fund aims to be mainly invested in bonds and other instruments issued by Emerging Market sovereigns, quasi-sovereigns and corporate entities. The Sub-Fund will seek to achieve its objectives through securities denominated in Emerging Market local currencies as well as US dollars and other major currencies. The Sub-Fund may not invest more than 25% of its net assets in investments denominated in a single currency other than the US dollar (unless over such amount, such investments are hedged into US dollars). The Sub-Fund may not invest more than 35% (in aggregate) of its net assets into entities that are not sovereigns or quasi-sovereigns. The Sub-Fund may, on an ancillary basis, hold cash and invest in Money Market Instruments including in money market UCITS or UCIs denominated in US$ or other currencies. Investments made in UCITS and/or UCI may not in aggregate exceed 10% of the net assets of the Sub-Fund. The Sub-Fund may also be invested in financial instruments whose value derives from the value and characteristics of one or more underlying assets (derivatives) and engage in certain techniques for hedging purposes and efficient management of assets including total return swaps, repurchase and reverse repurchase agreements, subject to the limits in the Prospectus. The Sub-Fund primarily uses an active, macro top-down approach to investment management. Considering the recommended holding period of 5 years being compatible with a medium to long-term investment horizon, the performance of the Sub-Fund depends on the medium to long-term performance of the aforementioned investments.