Rentenfonds • Renten International

Anlageschwerpunkt M&G Senior Asset Backed Credit Fund - A EUR ACC H

WKN
ISIN
KVG
M&G Luxembourg S.A.
WKN
KVG
M&G Luxembourg S.A.
ISIN

KVG
112,754 EUR
+0,012 EUR+0,01 %
Geld
112,754 EUR
Brief
112,754 EUR
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Fondsvolumen
1,01 Mrd. GBP
Ausgabeaufschlag
Laufende Kosten
0,16 %
Morningstar-Rating
Ertrags­ver­wendung
Thesaurierend
Morningstar ESG-Rating

Zusammensetzung nach Land

GroßbritannienIrlandAustralienNiederlandeItalienSpanienLuxemburgBarmittelPortugal
Stand:
  • Großbritannien (30,7 %)
  • Irland (26,8 %)
  • Australien (4,8 %)
  • Niederlande (4,7 %)

Zusammensetzung nach Instrument

AnleihenBarmittel
Stand:
  • Anleihen (99,2 %)
  • Barmittel (0,8 %)

Zusammensetzung nach Währung

währungsgesichert
Stand:
  • währungsgesichert (100,0 %)

Top Holdings zu M&G Senior Asset Backed Credit Fund - A EUR ACC H

WertpapiernameAnteil
CASTELL 25-1 25/62 FLR A
Anleihe · WKN A4EA7F · ISIN XS3050710212
2,30 %
TWIN BR.22-1 22/55 FLR A
Anleihe · WKN A3K1PP · ISIN XS2434406539
1,84 %
TOG.24-1ST2 24/65 FLR A
Anleihe · WKN A3L3J6 · ISIN XS2888410474
1,80 %
PMF 2024-2 PLC LS-FLR Notes 2024(60) A Reg.S
Anleihe · WKN A4D9WG · ISIN XS2949623289
1,64 %
PCL FND IX 24/29 FLR A
Anleihe · WKN A3L0W0 · ISIN XS2809168201
1,56 %
HERMITAGE 25 25/34 FLR A
Anleihe · WKN A4ECJZ · ISIN XS3081336995
1,35 %
F.CRED.24-1 24/38 A REGS
Anleihe · WKN A3L5PU · ISIN XS2910514301
1,34 %
NewDay Fdg Master Issuer PLC LS-FLR MTN 2024(27) Cl.A Reg.S
Anleihe · WKN A3LWNR · ISIN XS2768182284
1,25 %
EAST1 2024 1 (A) 27/12/2055
Anleihe · WKN A3L1Y8 · ISIN XS2790098359
1,21 %
SAPP 2024 3 (A1L) 14/03/2066
Anleihe · ISIN AU3FN0094413 ·
1,16 %
Summe:15,45 %
Stand:

Fondsstrategie zu M&G Senior Asset Backed Credit Fund - A EUR ACC H

The M&G Senior Asset Backed Credit Fund ('The Fund') aims to provide a higher total return (capital growth plus income) than that of the SONIA (Sterling Overnight Index Average) over any three-year period, net of fees, while applying ESG Criteria. the Fund invests in Asset-Backed Securities and other floating rate instruments that are Investment Grade and denominated in any currency. The Fund invests in securities that meet the ESG Criteria, applying an Exclusionary Approach as described in the precontractual annex. In usual market conditions, at least 70% of the portfolio will be invested in Asset-Backed Securities and at least 80% of the portfolio is expected to be subject to a credit rating of at least AA-, this is a credit rating which is above that included in the definition of 'Investment Grade' in the Prospectus. The Fund may invest up to 10% of its assets in securities that are not rated by any recognised rating agency, in which case a comparable internal credit rating will be used. Issuers of these securities may be located in any country, including emerging markets. The Fund does not take currency views and aims to hedge any non-GBP assets back to GBP. The Fund may use derivatives to meet its investment objective, for efficient portfolio management and for the purposes of hedging. These instruments may include but are not limited to spot and forward contracts, options, exchange traded futures, credit default swaps, and interest rate swaps. The Fund may also invest in other funds and up to 30% in cash (meaning eligible deposits) and assets that can be turned quickly into cash.