European Corporate Bond Sustainable and Responsible Investment Fund
A Acc EUR

ISIN: LU1164462860


Fund objective

The fund aims to provide long term growth from capital gains and the reinvestment of income generated by investing predominantly in European investment grade corporate bonds which meet our sustainable and responsible investment criteria. The fund is actively managed by our investment teams who may invest in a wide range of bonds (e.g. government bonds, corporate bonds including high yield bonds, government backed securities, overseas bonds, index-linked bonds, floating rate notes (FRNs) and asset backed securities (ABSs)) and/or money market instruments in order to take advantage of opportunities they have identified and which meet our sustainable and responsible investment criteria. Past performance is not a guide to future returns and future returns are not guaranteed. The price of assets and the income from them may go down as well as up and cannot be guaranteed; an investor may receive back less than their original investment. The fund may use derivatives to reduce risk or cost, or to generate additional capital or income at low risk, or to meet its investment objective. Usage of derivatives is monitored to ensure that the fund is not exposed to excessive or unintended risks. The value of assets held within the fund may rise and fall as a result of exchange rate fluctuations.

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Cumulative

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Performance

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Key facts

Risk warning
Risk warning – The value of investments and the income from them can go down as well as up and you may get back less than the amount invested. Please refer to the risk factors in the prospectus for general and specific investment risks attached to the individual funds.