| ISIN | LU1860994190 |
|---|---|
| Valor Number | |
| Bloomberg Global ID | |
| Fund Name | DNCA INVEST - ALPHA BONDS Class H-A CHF |
| Fund Provider |
DNCA Finance Luxembourg Branch
Phone: +352 27 62 13 07 1 Place d'Armes L-1136 Luxembourg E-Mail: dncabelux@dnca-investments.com Web: www.dnca-investments.com |
| Fund Provider | DNCA Finance Luxembourg Branch |
| Representative in Switzerland |
Reyl & Cie S.A. Genève Phone: +41 22 816 80 00 |
| Distributor(s) | BNP Paribas Securities Services Luxembourg |
| Asset Class | Bonds |
| EFC Category | |
| Distribution Policy | Accumulation |
| Home Country | Luxembourg |
| Issuing Condition | Combination of issuing commission charged by the fund management company and transaction fee charged by the fund |
| Redemption Condition | Combination of redemption commission charged by the fund management company and transaction fee charged by the fund |
| Investment Strategy *** | The Sub-Fund seeks to provide, throughout the recommended investment period of more than three years, a higher performance, net of any fees, than the Index. This performance objective is sought by associating it to a lower annual volatility than 5% in normal market conditions. Investors’ attention is drawn to the fact that the management style is discretionary and integrates environmental, social / societal and governance (ESG) criteria. Investors’ attention is drawn to the fact that the management style is discretionary. |
| Peculiarities |
| Current Price * | 118.44 CHF | 24.10.2025 |
|---|---|---|
| Previous Price * | 118.49 CHF | 23.10.2025 |
| 52 Week High * | 118.53 CHF | 22.10.2025 |
| 52 Week Low * | 113.37 CHF | 11.04.2025 |
| NAV * | 118.44 CHF | 24.10.2025 |
| Issue Price * | ||
| Redemption Price * | ||
| Closing Price * | ||
| Indicative Minimum Price | ||
| Fund Assets *** | 19,724,005,011 | |
| Unit/Share Assets *** | 13,597,195 | |
| Trading Information SIX | ||
| YTD Performance | +3.29% |
31.12.2024 - 24.10.2025
31.12.2024 24.10.2025 |
|---|---|---|
| 1 month | +0.69% |
24.09.2025 - 24.10.2025
24.09.2025 24.10.2025 |
| 3 months | +1.65% |
24.07.2025 - 24.10.2025
24.07.2025 24.10.2025 |
| 6 months | +2.39% |
24.04.2025 - 24.10.2025
24.04.2025 24.10.2025 |
| 1 year | +2.96% |
24.10.2024 - 24.10.2025
24.10.2024 24.10.2025 |
| 2 years | +5.81% |
24.10.2023 - 24.10.2025
24.10.2023 24.10.2025 |
| 3 years | +10.22% |
24.10.2022 - 24.10.2025
24.10.2022 24.10.2025 |
| 5 years | +19.77% |
26.10.2020 - 24.10.2025
26.10.2020 24.10.2025 |
| Equity Participation Rate in % | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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| Share of Total Fund Assets in % | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| Real Estate Rate in % | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| ADDI | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| ADDI Date | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| United States Treasury Notes 2.125% | 9.17% | |
|---|---|---|
| Ostrum SRI Cash Plus SI | 8.22% | |
| Spain (Kingdom of) 0.7% | 4.71% | |
| 5 Year Treasury Note Future Dec 25 | 4.08% | |
| United Kingdom of Great Britain and Northern Ireland 4.5% | 3.67% | |
| United States Treasury Notes 1.875% | 3.08% | |
| Japan (Government Of) 2.4% | 2.97% | |
| European Union 3% | 2.83% | |
| New Zealand (Government Of) 4.25% | 2.58% | |
| Italy (Republic Of) 1.1% | 2.55% | |
| Last data update | 30.09.2025 | |
| TER | |
|---|---|
| TER date | |
| Performance Fee *** | 20.00% |
| PTR | |
| Max. Management Fee *** | 1.20% |
| Ongoing Charges *** | 1.33% |
|
SRRI ***
|
|
| SRRI date *** | 30.09.2025 |