Janus Henderson Fixed Maturity Bond Fund (USD) 2027 I5q USD (IE000MYR0A73)

Wertentwicklung

Eckdaten

Allgemeine Fondsdaten

ISIN
IE000MYR0A73
WKN
JH0001
Währung
US Dollar
Ausschüttungsart
Ausschüttend
Ausschüttungsintervall
jährlich
Fondsvolumen
61.01 Mio. USD
Auflagedatum
12.07.2023
Geschäftsjahresbeginn
1. January
KAG
Janus Henderson Investors
Domizil
Irland
Depotbank
J.P. Morgan SE, Dublin Branch
Fondsmanager
Brad Smith, James Briggs, Michael Keough, Tim Winstone, Carl Jones

Fokus, Kosten und Bewertung

Kategorie
Anleihen, Gemischt
Region
Global
Laufende Kosten
0,65%
Transaktionskosten
0,02%
Maximaler Ausgabeaufschlag
2%
Rücknahmegebühr
1%
Clean-Share
Ja
Mindestkaufvolumen
$ 1.000.000,00
Risiko-Ertrags-Profil
SRI 2
Nachhaltigkeit SFDR
Artikel-6-Fonds
The Fund aims to provide a regular income while aiming to preserve the initial capital invested over the Term. The Fund is designed to be held until the end of the Term and investors should be prepared to remain invested until such date. The income amount or capital value is not guaranteed. The value of the shares at the end of the Term may be less than the value at the time of investment because of the Fund's distribution policy or market movements.

So wird investiert

Anlageklassen

Länder

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Ratings

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