Anlageschwerpunkt Muzinich Global High Yield Fund - R EUR ACC H
- WKN
- A0ESV2
- ISIN
- IE00B07RXZ94
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Zusammensetzung nach Land
Zusammensetzung nach Instrument
Zusammensetzung nach Währung
Top Holdings zu Muzinich Global High Yield Fund - R EUR ACC H
Wertpapiername | Anteil |
---|---|
Virgin Media Vendor Fin.Nt.III LS-Notes 2020(20/28) Reg.S Anleihe · WKN A28YFL · ISIN XS2187646901 | 1,40 % |
Cirsa Finance International EO-Notes 2023(23/28) Reg.S Anleihe · WKN A3LK3L · ISIN XS2649695736 | 1,11 % |
DIRECTV/CO. 21/27 144A Anleihe · WKN A3KUML · ISIN US25461LAA08 | 1,08 % |
BURF.C.G.FIN 23/31 144A Anleihe · WKN A3LKPE · ISIN US12116LAE92 | 0,90 % |
DISH NETWORK 22/27 144A Anleihe · WKN A3LA9Q · ISIN US25470MAG42 | 0,89 % |
AQU.INS.HO./ 24/29 144A Anleihe · WKN A3L5DE · ISIN US00188QAA40 | 0,85 % |
Deutsche Bank AG FLR-Nachr.Anl.v.21(26/unb.) Anleihe · WKN DL19V5 · ISIN DE000DL19V55 | 0,82 % |
Studio City Finance Ltd. DL-Notes 2020(20/28) Reg.S Anleihe · WKN A28ZZ5 · ISIN USG85381AF13 | 0,82 % |
ERO COPPER 22/30 144A Anleihe · WKN A3K1US · ISIN US296006AA71 | 0,82 % |
Banco de Credito e Inver.(BCI) DL-FLR MTN 2024(29/Und.) Reg.S Anleihe · WKN A3LUED · ISIN US05890PAC05 | 0,74 % |
Summe: | 9,43 % |
Fondsstrategie zu Muzinich Global High Yield Fund - R EUR ACC H
The Fund seeks to generate attractive returns and protect capital by investing in debt instruments that meet the Fund's environmental, social and governance ('ESG') criteria while seeking to meet its sustainable objective of assisting in the transition to a low carbon economy. The Product primarily invests in corporate bonds. Such bonds will generally be rated sub-investment grade (i.e. high yield), but may be rated investment grade and be issued by US and European issuers as well as emerging market issues (up to 20% of the Fund's Net Asset Value). Such bonds will also meet the Fund's ESG criteria. The Product significantly reduces exposure to the most carbon intensive companies and implements specific screening criteria. The Product may use derivatives (financial instruments whose value is linked to the price of an underlying asset) for hedging and efficient portfolio management purposes.