Vontobel Fund - Sustainable Emerging Markets Debt HN (hedged)

Dati di base

ISIN LU2145397647
Numero di valore 53671304
Bloomberg Global ID VOMDHHE LX
Nome del fondo Vontobel Fund - Sustainable Emerging Markets Debt HN (hedged)
Offerente del fondo VONTOBEL ASSET MANAGEMENT AG Zürich, Svizzera
Telefono: +41 58 283 52 71
E-Mail: assetmanagement@vontobel.ch
Offerente del fondo VONTOBEL ASSET MANAGEMENT AG
Rappresentante in Svizzera Vontobel Fonds Services AG
Zürich
Telefono: +41 58 283 74 77
Distributore(i)
Asset class Fondi obbligazionari
EFC Categoria Bond Emerging Global
Classe di quote Accumulation
Paese di domicilio Lussemburgo
Condizioni all-unknown-emissione Nessuna commissione di emissione e/o altre commissioni a favore del fondo (emissione al valore d’inventario)
Condizioni al riscatto Nessuna commissione di riscatto e/o altre commissioni a favore del fondo (riscatto al valore d’inventario)
Strategia d'investimenti *** The Sub-Fund aims to outperform the J.P. Morgan ESG EMBI Global Diversified Index (the “Benchmark”) over a three-year rolling period, by investing primarily in emerging market debt securities in accordance with the ESG strategy. While respecting the principle of risk diversification, the Sub-Fund's net assets are primarily exposed to the fixed-income asset class by investing, inter alia, in investment grade and non-investment grade bonds, notes and similar fixed-interest and floating-rate debt instruments, including contingent con-vertibles bonds, asset-backed or mortgage-backed securities, convertibles and warrant bonds, denominated in hard currencies and issued or guaranteed by government or government-related, supra-na-tional or corporate (including quasi-sovereign) issuers domi-ciled in, having their business activity in or exposed to emerg-ing markets in accordance with the ESG (environmental, social and governance) strategy of the Investment Manager.
Particolarità

Prezzi del fondo

Prezzo attuale * 101.75 EUR 05.06.2025
Prezzo precedente * 101.76 EUR 04.06.2025
Max 52 settimani * 102.24 EUR 03.03.2025
Min 52 settimani * 96.30 EUR 01.07.2024
NAV * 101.75 EUR 05.06.2025
Issue Price * 101.75 EUR 05.06.2025
Redemption Price * 101.75 EUR 05.06.2025
Closing Price *
Prezzo minimo indicativo
Attivo del fondo *** 692'454'062
Attivo della classe *** 7'275'995
Trading Information SIX

Performance

Performance YTD +2.97% 31.12.2024
05.06.2025
Performance YTD (in CHF) +2.79% 31.12.2024
05.06.2025
1 mese +2.13% 05.05.2025
05.06.2025
3 mesi -0.42% 05.03.2025
05.06.2025
6 mesi +1.13% 05.12.2024
05.06.2025
1 anno +4.94% 05.06.2024
05.06.2025
2 anni +14.60% 05.06.2023
05.06.2025
3 anni +10.53% 07.06.2022
05.06.2025
5 anni +1.75% 30.09.2020
05.06.2025

Dati fiscali

Quota di partecipazione al capitale in %
Utile totale del fondo in %
Quota immobiliare in %
ADDI
ADDI Date

10 posizioni principali ***

Euro-Bund Future 0625 Ee Offset 7.55%
Us 10yr Note (Cbt)jun25 7.21%
Us Long Bond(Cbt) Jun25 6.54%
Euro-Bobl Future 0625 Ee Offset 6.17%
Us 5yr Note (Cbt) Jun25 3.62%
Dominican Republic 4.875% 3.10%
Poland (Republic of) 5.5% 2.84%
Colombia (Republic Of) 5.2% 2.65%
Brazil (Federative Republic) 6.625% 2.44%
Us 2yr Note (Cbt) Jun25 2.22%
Ultimo aggiornamento dei dati 30.04.2025

Costi / Rischi

TER 0.83%
Data TER 28.02.2025
Performance Fee ***
PTR
Max. Management Fee *** 0.95%
Ongoing Charges *** 0.84%
SRRI ***
Data SRRI *** 31.05.2025

Breakdowns

Bond Sectors ***


* NAV / Issue Price commissioni escluse, per fondi quotati in borsa NAV o quotazione di chiusura
** La calculazione del utile intermedio era fatto via § 9 Satz 2 InvStG
*** Sorgente dati: Morningstar (I dati si basano sulla posizione lunga riscalata delle partecipazioni)