Funds and prices

Overview

The actively managed fund invests primarily in USD-denominated investment-grade bonds.

The fund focuses on careful security and sector selection as well as active duration management.

The investment objective is to achieve an attractive return based on the performance of the USD corporates market.

The fund is appropriate for investors seeking to achieve an attractive return with a broadly diversified USD portfolio of corporate bonds.

The portfolio manager is not tied to the benchmark in terms of investment selection or weight.

Benefits

Clients benefit from the return potential of corporate bonds, which is higher than that of government bonds.

Active portfolio management ensures that particular attention is paid to the prevailing economic situation, sector selection and issuers' credit ratings.

Risk is kept in check via meticulous company analysis and broad diversification of the portfolio.

The fund is particularly appropriate for clients with a medium-term investment horizon who are willing to take on more risk than for investments in government bonds in order to benefit from potentially attractive returns.

Risks

Even though the credit quality of the portfolio is investment grade, the default risk is higher with corporate bonds than with government paper. Changes in interest rates have an effect on the value of the portfolio. This requires corresponding risk tolerance and capacity. All investments are subject to market fluctuations. Every fund has specific risks, which may increase considerably in unusual market conditions. The fund can use derivatives, which may result in additional risks (particularly counterparty risk). This share class (mdist) may make monthly, gross-of-fee distributions. As a consequence, in addition to income, this share class may also distribute capital. This can have negative tax consequences for investors in some jurisdictions. Investors should seek their own tax advice.

Features

Product category
ÃÛ¶¹ÊÓÆµ Bond Funds
ÃÛ¶¹ÊÓÆµ Classic Bond Funds
Product domicile
Luxembourg
Portfolio management
ÃÛ¶¹ÊÓÆµ Asset Management (Americas) LLC, New York
Fund management
ÃÛ¶¹ÊÓÆµ Fund Management (Luxembourg) S.A., Luxembourg
Custodian bank
ÃÛ¶¹ÊÓÆµ Europe SE, Luxembourg Branch
Representative for products established under foreign law
ÃÛ¶¹ÊÓÆµ Fund Management (Switzerland) AG
Day of inception
September 14, 2020
Currency of account
USD
Close of financial year
May 31
Issue / redemption
daily
Maturity
Open end
Management fee
0.86% p.a.
Total expense ratio (TER)
1.20% p.a.
Swing pricing
yes
Minimum investment
n.a.
Reference Index / Benchmark
Bloomberg US Corporate Investment Grade Index
Securities no.
19861671
ISIN
LU0849272793
Bloomberg Ticker
ÃÛ¶¹ÊÓÆµUCPI LX
Telekurs Id
n.a.

Performance and Prices

Percentage growth

as of April 3, 2024
Cumulative
USD(%) CHF(%) EUR(%)
YTD -1.05 6.49 0.99
1M
3M
6M
1Y
2Y 8.97 -0.87 5.29
3Y -8.13 -11.77 -0.16
5Y
ø p.a.5Y -2.79 -4.09 -0.05

Current data

Net asset value 03.04.2024 USD 78.37
High - last 12 months 27.12.2023 USD 80.67
Low - last 12 months 19.10.2023 USD 72.81
Last distribution 20.03.2024 USD 0.36
Assets of the unit class in mn 03.04.2024 USD 24.40
Total product assets in mn 03.04.2024 USD 373.58
Option Adjusted Duration 29.02.2024 6.96
Average remaining maturity 29.02.2024 11.54 years

Structures

By the 10 largest positions (in %, as of February 29, 2024)

 
 
Bank of America Corp 3.70
Morgan Stanley 2.70
JPMorgan Chase & Co 2.34
Citigroup Inc 2.18
AbbVie Inc 1.62
Warnermedia Holdings Inc 1.52
Bristol-Myers Squibb Co 1.44
Cisco Systems Inc 1.41
Goldman Sachs Group Inc/The 1.40
AT&T Inc 1.23

Fees

Flat fee
1.08%
Management fee p.a.
0.86%
Redemption commission
0.00%
Issuing commission
1.50%
Swiss federal stamp duty
0.15%
Distribution fee
(see info)

Distributions

From
01-Nov-2020
To
01-Nov-2021
Date of distribution
Pay date
Cps no.
Currency
Distribution
17.04.2023 20.04.2023 50 USD 0.30 15.05.2023 18.05.2023 51 USD 0.30 15.06.2023 20.06.2023 52 USD 0.29 17.07.2023 20.07.2023 53 USD 0.29 16.08.2023 21.08.2023 54 USD 0.29 15.09.2023 20.09.2023 55 USD 0.29 16.10.2023 19.10.2023 56 USD 0.28 15.11.2023 20.11.2023 57 USD 0.34 15.12.2023 20.12.2023 58 USD 0.35 16.01.2024 19.01.2024 59 USD 0.37 15.02.2024 20.02.2024 60 USD 0.37 15.03.2024 20.03.2024 61 USD 0.36

Authorisations

Country of distribution
Representative / Information
Luxembourg
ÃÛ¶¹ÊÓÆµ Fund Services (Luxembourg) S.A.
Switzerland
ÃÛ¶¹ÊÓÆµ Fund Management (Switzerland) AG
Taiwan
ÃÛ¶¹ÊÓÆµ Asset Management (Taiwan) Ltd.

Literature

Brochures
Document type
Document Language
Fact Sheet
Manager Commentary
Fund Profile
3-Pager Monthly Distributing Share Classes
Fact Sheet - ÃÛ¶¹ÊÓÆµ Bond Funds
Fact Sheet - ÃÛ¶¹ÊÓÆµ Classic Bond Funds
Agreement / Prospectus
Document type
Document Language
Prospectus
Key Information Document
Past performance
Previous performance scenario
Statutes / Management regulations
ESG Disclosure
Swiss Climate Scores Report
ASIP ESG Report
Annual and semi-annual report (accounting on May 31)
Document type
Document Language
Annual report
Semi-annual report
General information
Document type
Document Language
ÃÛ¶¹ÊÓÆµ Funds - Your funds at a glance
Tax list