AMSelect JP Morgan Global Bond Priv Dis EUR

Rating e Score  (Al 30/06/2026)
Rating
FIDA
Rating
ESG
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Anagrafica
Nome
AMSelect JP Morgan Global Bond Priv Dis EUR
Tipologia
Fondi e Sicav
Codice Isin
LU2702311445
Sicav
AMSelect
Domicilio
-
Paese autorizzato alla vendita
Società di gestione
Indirizzo
60, avenue John F. Kennedy L-1855 Luxembourg
Telefono
Sito WEB
Categoria FIDA
Categoria Assogestioni
Categoria EFAMA
-
PRIIPS
-
Benchmark ufficiale
-
Data inizio collocamento
14/06/2024
Valuta di denominazione
USD - Dollaro Stati Uniti
Valuta di quotazione
EUR - Euro
Stato
Quotato
Distribuzione dei proventi
Patrimonio al -
-
Documentazione
Andamento della quotazione (Dal 19/07/2024 Al 10/07/2026)
96,47
2,64
%
10/07/2026
Caricamento dati
Quota
Valuta di quotazione
EUR - Euro
Frequenza di quotazione
Giornaliero
Ultima quotazione
96,47 € (10/07/2026)
Variazione %
+0,17%
Ultima quotazione in euro
96,47 €
Obiettivo di investimento
The Product is actively managed. The benchmark Bloomberg Global Aggregate (Hedged in USD) RI is used for performance comparison only. The Product is not benchmark constrained and its performance may deviate significantly from that of the benchmark.The Product seeks to increase the value of its assets over the medium term by investing mainly in corporate and government bonds that are denominated in any currency. Some of these investments may be below investment grade (high yield) and/or from emerging markets. The Product invests at least two thirds of assets in the bonds described above and in other debt securities issued by governments or companies anywhere in the world. The Product may invest up to one third of assets in other bonds, and in other securities, such as equities and money market instruments. The Product may invest in, or be exposed to, the following asset classes up to the percentages of assets indicated: Below investment grade bonds (non-emerging countries) 55%, Emerging market bonds (30%), Non-rated bonds (20%), Convertible bonds (15%), including contingent convertible bonds up to 10% (used for diversification or for seeking additional returns), investment grade securitised products (20%), UCITS and other UCIs (10%).The Product does not invest in securities rated below CCC+, as well as in distressed securities at the time of purchase. Any portfolio security that falls below the Product's minimum credit criteria will be sold if it is in the interest of the shareholders.After hedging, the Product's exposure to currencies other than USD will not exceed 15%.The Product invests invests opportunistically in an unconstrained portfolio of debt securities and currencies, using derivatives where appropriate (bottom-up and top-down approach).The investment team applies the BNP Paribas Asset Management's Responsible Business Conduct Policy that includes norms-based screens (exclusions based upon international norms in areas such as human rights and labour condit
Regime fiscale
PIR compliant
No
PEA compliant
No
PEA-PME compliant
No
Anagrafica società
Società di gestione
Telefono
Sito WEB
Indirizzo
60, avenue John F. Kennedy L-1855 Luxembourg
I dati e le informazioni oggetto del Servizio sono ad esclusivo uso interno dell’Utente e non possono essere né trasferiti a terzi, né fatti circolare, divulgati o lasciati divulgare, né utilizzati su sistemi informativi esterni, senza il consenso scritto di FIDA e, quando necessario, delle fonti di informazione.
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