Pyrford Global Total Return (Sterling) Fund Class I Fonds

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11,41 EUR +0,01 EUR +0,09 %
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investment target

The Fund seeks to provide a stable stream of real total returns over the long term with low absolute volatility and significant downside protection. Investment Policy The Fund will seek to achieve its investment objective and will focus on capital preservation to achieve real total returns. By investing in asset classes and securities which offer sound fundamental value and avoiding asset classes and securities which offer poor fundamental value, the Fund will seek to achieve real total returns. The Fund will invest in investment grade sovereign Debt Securities and equities of companies that, at time of purchase, have a minimum stock market capitalisation of US$500 million and that are listed, traded or dealt in on a Regulated Market. Particular emphasis will be placed on Regulated Markets in North America, Europe (including the U.K.) and the Asia Pacific Region (including Japan).

derivatives#masterdata#headline

name Pyrford Global Total Return (Sterling) Fund Class I EUR Hedged Accumulating Fonds
isin IE00BDZS0H68
WKN
investment company Pyrford International Ltd
benchmark UK Retail Price
funds#master_data#distribution funds#distribution_type#non_distributing
funds#master_data#manager
domicile Ireland
funds#master_data#category Gemischte
issue date 01.02.2018
fiscal year 31.12.
funds#master_data#capital_forming_savings no
deposit bank State Street Custodial Services (Ireland) Limited
paying agent
Riester Fonds no

base#morelink

basic data

issue date 01.02.2018
deposit bank State Street Custodial Services (Ireland) Limited
paying agent
domicile Ireland
fiscal year 31.12.

current data

fund rating
current redemption price 11,41
number of funds in category 1292
funds#dataandfees#planasset 8,97 base#million EUR
funds volume 855,63 base#million EUR
total expense ratio (ter) 0,90

charges

Laufende Kosten 1,06%
Total Expense Ratio (Verwaltungsgebühren & sonst. Kosten) 0,90%
Transaktionskosten 0,16%
custodian fee -
management charge 0,75%
redemption fee -
issue charge -

performance data

previous day change 0,01
funds#dataandfees#performancesincebeginningofyear 2,33%