ISIN | CH1318029399 |
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Valor Number | 131802939 |
Bloomberg Global ID | |
Fund Name | Swiss Life Index Funds (CH) Bond Global Aggregate ex CHF (CHF hedged) I Cap |
Fund Provider |
Swiss Life Asset Management AG
Zürich, Switzerland Phone: +41 44 284 77 09 E-Mail: info@swisslife-am.com Web: www.swisslife-am.com |
Fund Provider | Swiss Life Asset Management AG |
Representative in Switzerland | |
Distributor(s) |
Swiss Life AG Zürich Phone: +41 43 284 33 11 |
Asset Class | Bonds |
EFC Category | |
Distribution Policy | Accumulation |
Home Country | Switzerland |
Issuing Condition | The fund does not charge any issuing commission and/or fees (units are issued at the NAV) |
Redemption Condition | The fund does not charge any redemption commission and/or fees (units are redeemed at the NAV) |
Investment Strategy *** | Das Anlageziel dieses Teilvermögens besteht hauptsächlich darin, einen angemessenen Anlageertrag in der Rechnungseinheit mittels Abbildung der Benchmark Bloomberg Global Aggregate ex CHF Total Return (CHF hedged) zu erreichen. Dabei kann die Fondsleitung, statt in sämtliche Titel der Benchmark zu investieren, auf eine repräsentative Auswahl von Titeln zurückgreifen (Optimized Sampling). Die Auswahl erfolgt unter Zuhilfenahme eines Systems, das quantitative renditebestimmende Faktoren berücksichtigt. Gründe für die Limitierung des Portfolios auf eine repräsentative Auswahl von Titeln der Benchmark können neben den nachfolgend aufgeführten Anlagebeschränkungen und sonstigen rechtlichen und behördlichen Beschränkungen auch anfallende Kosten und Aufwendungen des Teilvermögens sowie die Illiquidität bestimmter Anlagen sein. |
Peculiarities |
Current Price * | 990.95 CHF | 22.05.2025 |
---|---|---|
Previous Price * | 990.32 CHF | 21.05.2025 |
52 Week High * | 1,008.54 CHF | 04.04.2025 |
52 Week Low * | 990.32 CHF | 21.05.2025 |
NAV * | 990.95 CHF | 22.05.2025 |
Issue Price * | 990.95 CHF | 22.05.2025 |
Redemption Price * | 990.95 CHF | 22.05.2025 |
Closing Price * | ||
Indicative Minimum Price | ||
Fund Assets *** | 63,476,358 | |
Unit/Share Assets *** | 100,434 | |
Trading Information SIX |
YTD Performance | - | - |
---|---|---|
1 month | -0.73% |
22.04.2025 - 22.05.2025
22.04.2025 22.05.2025 |
3 months | -0.91% |
31.03.2025 - 22.05.2025
31.03.2025 22.05.2025 |
6 months | - | - |
1 year | - | - |
2 years | - | - |
3 years | - | - |
5 years | - | - |
Equity Participation Rate in % | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
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Share of Total Fund Assets in % | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Real Estate Rate in % | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ADDI | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
ADDI Date |
iShares US Mortgage Backed Secs ETF $Acc | 10.35% | |
---|---|---|
United States Treasury Notes 3.875% | 1.11% | |
United States Treasury Notes 4.625% | 1.08% | |
United States Treasury Notes 1.125% | 1.00% | |
United States Treasury Notes 4.125% | 0.99% | |
United States Treasury Notes 0.625% | 0.96% | |
United States Treasury Notes 1.875% | 0.94% | |
United States Treasury Notes 4.875% | 0.94% | |
United States Treasury Notes 1.125% | 0.84% | |
United States Treasury Notes 3.625% | 0.78% | |
Last data update | 30.04.2025 |
TER | |
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TER date | |
Performance Fee *** | |
PTR | |
Max. Management Fee *** | 1.20% |
Ongoing Charges *** | |
SRRI ***
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|
SRRI date *** | 30.04.2025 |