Wellington Global Impact Bond D $
Rating e Score (Al 30/06/2026)
Rating
FIDA
Rating
ESG
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Anagrafica
Nome | Wellington Global Impact Bond D $ |
Tipologia | Fondi e Sicav |
Codice Isin | IE00BH3Q9N96 |
Sicav | WELLINGTON MGMNT F. (Ire.) Plc |
Domicilio | - |
Paese autorizzato alla vendita | |
Società di gestione | |
Indirizzo | 33 avenue de la Liberté L - 1931 Luxembourg |
Telefono | |
Sito WEB | |
Categoria FIDA | |
Categoria Assogestioni | |
Categoria EFAMA | Bond Aggregate MT |
PRIIPS | Sì |
Benchmark ufficiale | - |
Data inizio collocamento | 30/04/2019 |
Valuta di denominazione | USD - Dollaro Stati Uniti |
Valuta di quotazione | USD - Dollaro Stati Uniti |
Stato | Quotato |
Distribuzione dei proventi | No |
Patrimonio al 09/07/2026 | 5,90 mln USD |
Patrimonio Comparto al 09/07/2026 | 1.093,86 mln USD |
Documentazione |
Andamento della quotazione (Dal 10/07/2023 Al 10/07/2026)
11,47
15,62
%
10/07/2026
Caricamento dati
Quota
Valuta di quotazione | USD - Dollaro Stati Uniti |
Frequenza di quotazione | Giornaliero |
Ultima quotazione | 11,47 USD (10/07/2026) |
Variazione % | |
Ultima quotazione in euro | 10,03 € |
Obiettivo di investimento
The Fund seeks long-term total returns. The Fund has a sustainable objective to seek to understand the world's social and environmental challenge and to invest in debt issued by companies and organisations that it believes are addressing these needs in a differentiated way through their core products, services and projects. The Fund through its investments, seeks to improve access to, and the quality of, basic life essentials, reduce inequality and mitigate the effects of climate change. The Fund will be actively managed and seeking to outperform the Bloomberg Global Aggregate Hedged to US dollar Index ("the Index") and achieve its objectives by investing primarily in investment-grade global fixed income securities. The Fund may hold concentrated positions within an Impact Theme as there may be more investment opportunities within certain impact themes than others. Whilst the Fund will generally be well diversified by country, currency, industry, and issuers, it may hold positions that are concentrated in this manner from time to time. The Fund may invest, either directly or indirectly via derivatives, in global fixed income securities issued by corporate, government, agency, supranational issuers; mortgage and other asset-backed securities. The Fund will primarily invest in developed countries but may also invest in emerging markets. The Fund's average credit quality is expected to be investment grade but the Fund may invest up to 20% in below investment grade rated securities. The Fund will invest in global fixed income securities of varying maturity but will generally have interest rate duration of +/-1.5 years of the Index. The Fund will generally hedge any non-US Dollar exposures back to US Dollars. Derivatives will be used to hedge (manage) risk and/or volatility, for investment purposes (such as gaining exposure to a security) and for managing the Fund more efficiently. Derivatives will form a significant part of the strategy and will impact performance. The |
Regime fiscale
PIR compliant | No |
PEA compliant | No |
PEA-PME compliant | No |
Anagrafica società
Società di gestione | |
Telefono | |
Sito WEB | |
Indirizzo | 33 avenue de la Liberté L - 1931 Luxembourg |
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