GAM Multibond - ABS B Fonds
96,76
CHF
+0,01
CHF
+0,01
%
NAV
Werbung
Top Holdings
Chart
Tabelle
Name | ISIN | Anteil |
---|---|---|
United States Treasury Bills | US912797GW17 | 12,28% |
FEDERAL HOME LN MTG CORP MULTICLASS MTG PARTN CTFS GTD 6.38012% | US3137HC3A82 | 7,95% |
United States Treasury Bills | US912797MC88 | 6,97% |
Fortress Credit Opportunities XI CLO Limited/ LLC 6.86298% | US34961WAC91 | 6,11% |
Argent Secs Inc 5.44926% | US040104LH25 | 5,53% |
Impac CMB Trust 5.68926% | US45254NJG34 | 5,47% |
LOANCORE 2022-CRE7 ISSUER LTD 6.89173% | US53946PAA84 | 4,91% |
Finance of America Structured Securities Trust 2019-JR2 2% | USU3174VAA09 | 4,88% |
E-mac NL 2004-I B.V 5.945% | XS0188806870 | 4,23% |
Green Storm 2021 BV 4.288% | XS2294852376 | 3,95% |
Sonstige | 37,71% |