Janus Hend. Fixed Maturity Bond Fund (EUR) 2028 A2 EUR

Rating e Score  (al 30/06/2026)
Rating
FIDA
Rating
ESG
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Anagrafica
Nome
Janus Hend. Fixed Maturity Bond Fund (EUR) 2028 A2 EUR
Tipologia
Fondi e Sicav
Codice Isin
IE00064HGHF2
Sicav
Janus Henderson Capital Funds
Domicilio
-
Paese autorizzato alla vendita
Società di gestione
Indirizzo
78, Avenue de la Liberté L-1930 Luxembourg
Telefono
Sito WEB
Categoria FIDA
Categoria Assogestioni
Categoria EFAMA
Bond Corporate UD
PRIIPS
Benchmark ufficiale
-
Data inizio collocamento
08/04/2024
Valuta di denominazione
EUR - Euro
Valuta di quotazione
EUR - Euro
Stato
Quotato
Distribuzione dei proventi
No
Patrimonio al 24/07/2026
121,31 mln EUR
Patrimonio Comparto al 24/07/2026
343,23 mln EUR
Documentazione
Andamento della quotazione (Dal 20/05/2024 al 24/07/2026)
10,41
4,10
%
24/07/2026
Caricamento dati
Quota
Valuta di quotazione
EUR - Euro
Frequenza di quotazione
Giornaliero
Ultima quotazione
10,41 € (24/07/2026)
Variazione %
+0,10%
Ultima quotazione in euro
10,41 €
Politica di gestione
Obiettivo di investimento
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. The Fund invests at least 75% of its net asset value in global Investment Grade corporate bonds (equivalent to BBB- rated or higher). The Fund may invest up to 5% in the securities of other Eligible Collective Investment Schemes, up to 25% in high yield (non-investment grade) bonds issues by companies or preference shares (of which up to 5% are bonds issues by companies or preference shares from Developing Markets) and up to 5% in unrated bonds issues by companies. The Fund may also invest in high yield (non-Investment Grade) bonds, government bonds, municipal bonds, commercial paper, certificates of deposit and cash. The Fund may invest up to 10% of its net asset value in agency Mortgage-Backed Securities (which does not include Collateralised Mortgage Obligations). The Fund will not invest in contingent convertible bonds. The investment manager may use derivatives (complex financial instruments) to reduce risk, to manage the Fund more efficiently, or to generate additional capital or income for the Fund as well as for investment purposes. The Fund is managed on a buy and maintain basis without reference to a benchmark. This share class accumulates income which is retained within the price of the share class. You can buy, sell or switch shares in the Fund on any dealing day, as defined in the Fund's Prospectus. The Fund's Depositary is J.P. Morgan SE, Dublin Branch.
Regime fiscale
PIR compliant
No
PEA compliant
No
PEA-PME compliant
No
Anagrafica società
Società di gestione
Telefono
Sito WEB
Indirizzo
78, Avenue de la Liberté L-1930 Luxembourg
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