_Bonds:hypertitle_

Eurobond Fund In Eur (R)

Valuation Currency:

EUR

Geographical Area:

Global

Level of Risk:

Low Moderate

NAV:

1.4937 (05/16/2022)

Investment Objective

The mutual fund invests in a portfolio of tradable fixed income securities issued by corporate and government entities. The investment objective of the mutual fund is to achieve returns primarily from capital gains and secondarily from income (coupons).

Investment Strategy

To achieve its objective, the management company invests the mutual fund's assets in a portfolio of corporate and government without credit rating limitations. These investments refer at least to 65% of its net assets. Profits and income of the fund are reinvested.

The mutual fund may make use of derivatives, both for hedging or meeting its investment objectives, which may affect its performance.

Refers To

The mutual fund is addressed to investors with long-term horizon, without a time commitment. The minimum recommended holding period of the units is 3 years.

Prizes Awards

3rd PLACE

Fund Managers Awards 2018

For 3 Year performance 2016-2018

Contact us

We are disciplined long-term investors

For any clarifications regarding the mutual funds managed by European Reliance Asset Management please contact us.

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