Wertpapiername | Anteil |
---|---|
USA 22/24 FLR | 3,64 % |
UNITED STATES DEPARTMENT OF THE TREASURY | 0,80 % |
UNITED STATES DEPARTMENT OF THE TREASURY | 0,75 % |
UNITED STATES DEPARTMENT OF THE TREASURY | 0,34 % |
USA 21/23 FLR | 0,25 % |
USA 23/23 ZO | 0,11 % |
USA 22/24 FLR | 0,07 % |
Summe: | 5,96 % |
Ziele Das Anlageziel des US$ Treasury Liquid Reserves Fund besteht darin, die laufenden Erträge durch eine Anlage in US-Schatzobligationen und durch US-Schatztitel unterlegte Pensionsgeschäfte bei gleichzeitigem Kapitalerhalt und der Aufrechterhaltung der Liquidität zu maximieren. Der Fonds wird in auf US-Dollar lautende Geldmarktinstrumente investieren: insbesondere Wertpapiere, die von der US-Regierung begeben oder garantiert werden, mit einer Restlaufzeit (d. h. einem Endfälligkeitsdatum) von höchstens 397 Tagen zum Zeitpunkt des Kaufs. The Fund will invest in US Dollar denominated money market instruments: specifically securities issued or guaranteed by the US Government with remaining maturities (eg, a final maturity date) of 397 days or less at the time of purchase. The weighted average time to the maturity date (meaning date of interest rate change or principal repayment, if earlier) of all such securities will be up to 60 days and the weighted average time until the full principal must be repaid on all securities will be up to 120 days. The Fund will consider Environmental Social Governance (ESG) factors and as such will not invest in debt securities issued by companies that are, in the opinion of the Investment Manager, directly engaged and/or generating significant revenues from the following activities: production of, and/or involvement in controversial weapons (including nuclear weapons), production or sale of tobacco, extraction, production or generation of certain fossil fuels (including thermal coal, shale gas and oil, oil sands, and arctic oil and gas), production or sale of civilian firearms, and operation of private prisons. The Investment Manager may periodically update the types of activities that are excluded. Shares in the Fund may be redeemed daily (on each business day) on demand