abrdn II-Emerging Market Local Currency Debt Fund K Fonds

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Anlageziel

The Sub-fund’s investment objective is long term total return. The Sub-fund aims to outperform the JP Morgan GBI-EM Global Diversified Index (USD) benchmark before charges. It seeks to achieve this objective by investing primarily in Emerging Market currencies and Emerging Market local currency-denominated debt and debt-related securities. These include bonds as well as inflation-linked bonds issued by governments, supranational institutions or government-related bodies. The Sub-fund may hold investment grade and sub-investment grade corporate bonds issued in these countries, as well as government debt and debt-related securities, investment grade and sub-investment grade corporate bonds and other bonds issued in non-Emerging Market countries worldwide. The Sub-fund may also invest in other transferable securities, money-market instruments, deposits, cash and near cash, derivatives (including currency forwards, interest rate and credit default swaps) and collective investment schemes.

Stammdaten

Name abrdn SICAV II-Emerging Market Local Currency Debt Fund K Acc EUR Fonds
ISIN LU2701718186
WKN A3E347
Fondsgesellschaft abrdn Investments Luxembourg S.A.
Benchmark JPM GBI-EMerging Global Diversified
Ausschüttungsart Thesaurierend
Manager Kieran Curtis
Domizil Luxembourg
Fondskategorie Renten
Auflagedatum 24.10.2023
Geschäftsjahr 31.12.
VL-fähig? Nein
Depotbank Citibank Europe plc (Luxembourg)
Zahlstelle BNP PARIBAS, Paris, Zurich branch
Riester Fonds Nein

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Basisdaten

Auflagedatum 24.10.2023
Depotbank Citibank Europe plc (Luxembourg)
Zahlstelle BNP PARIBAS, Paris, Zurich branch
Domizil Luxembourg
Geschäftsjahr 31.12.

Aktuelle Daten

Morningstar Rating
Aktueller Rücknahmepreis 10,93
Anzahl Fonds der Kategorie 1160
Volumen der Tranche 74,70 Mio. EUR
Fondsvolumen 519,73 Mio. EUR
Total Expense Ratio (TER) 0,60

Gebühren

Laufende Kosten 0,86%
Total Expense Ratio (Verwaltungsgebühren & sonst. Kosten) 0,60%
Transaktionskosten 0,26%
Depotbankgebühr -
Managementgebühr 0,45%
Rücknahmegebühr -
Ausgabeaufschlag -

Performancedaten

Veränderung Vortag 0,01
WE seit Jahresbeginn 3,62%