AZ Bond - Frontier Markets Debt B-AZ FUND (Euro non Hedged - DIS) (LU2458359499)

Wertentwicklung

Eckdaten

Allgemeine Fondsdaten

ISIN
LU2458359499
WKN
AZ0037
Währung
Euro
Ausschüttungsart
Ausschüttend
Ausschüttungsintervall
quartal
Fondsvolumen
56.29 Mio. USD
Auflagedatum
25.01.2023
Geschäftsjahresbeginn
1. January
KAG
Azimut Investments S.A.
Domizil
Luxemburg
Depotbank
BNP Paribas, Luxembourg Branch
Fondsmanager
Carlo Morelli

Fokus, Kosten und Bewertung

Kategorie
Anleihen, Gemischt
Region
Global
Laufende Kosten
4,00%
Transaktionskosten
0,00%
Performancegebühr
20%
Managementgebühr
1,98%
Rücknahmegebühr
2,5%
Mindestkaufvolumen
€ 1.500,00
Risiko-Ertrags-Profil
SRI 4
Nachhaltigkeit SFDR
Artikel-6-Fonds
The Sub-fund is Feeder of the "AZ Fund 3 - AZ Bond - Frontier Markets Debt" Sub-fund (the Master). The Feeder shall permanently invest at least 85% of its assets in the MASTER (USD) class of said Master. The objective, investment policy and risk profile of the Feeder and the Master are similar. The Master's investment objective is to achieve long-term capital growth by actively investing, directly and/or indirectly (through debt securities classed as "Global Depositary Notes" (GDN)), at least 60% of its net assetsin a diversified portfolio of debt securities issued by governments, supranational institutions and governmental authorities of frontier market countries.

So wird investiert

Anlageklassen

Länder

Emittenten

Laufzeiten

Ratings

Währungen

Top-Ten Titel

NIGERIA T-BILL 0% 24-27/03/2025
3,90%
VIETNAM (REP OF) 4.8% 14-19/11/2024
3,60%
EGYPT T-BILL 0% 23-24/09/2024
2,80%
PERU B SOBERANO 7.3% 23-12/08/2033
2,70%
ANGOLA REP OF 8.75% 22-14/04/2032
2,60%
DOMINICAN REPUBL 11.25% 23-15/09/2035
2,60%
URUGUAY 4.375% 11-15/12/2028
2,50%
UZBEK INTL BOND 16.25% 23-12/10/2026
2,30%
PAKISTAN T-BILL 0% 24-15/05/2025
2,30%
PNG GOVT INTL BO 8.375% 18-04/10/2028
2,30%

Gleicher Fonds mit unterschiedlichen Kosten