Active Dollar Bond (USD)
This Sub-Fund shall primarily invest in transferable securities, both equities and bonds, denominated in international currencies. Investments in equities shall represent a maximum of 100% of the value of the net assets of the Sub-Fund.
Investments in bonds shall be made without limitation in duration and rating, as for example in variable or fixed rate domestic bonds or Euro-bonds, convertible bonds, warrant bonds, certificates of deposit, Treasury bonds, zero coupons, strips or any other transferable securities as long as such securities are listed or in the course of being listed. Investment shall be made without any geographical or economic restriction.
Recommended investment time horizon: 5 years.
PERFORMANCE OF THE SUB-FUND:
Total return |
2014 0.83% | 2015 -1.73% | 2016 8.6% | 2017 7.4% | 2018 -3.15% | 2019 9.98% | 2020 5.24% | 2021 1.64% | 2022 -12.4% | 2023 8.98% | 2024 7.72% |
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PERFORMANCE STATISTICS AS OF 18/12/2024
NAV: | 2193.320 |
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MTD: | 0.02% |
QTD: | 0.262% |
YTD: | 7.72% |
KEY FEATURES:
Investment Manager: | Compass Asset Management SA |
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Inception date: | April 2007 |
Liquidity: | Daily |
Minimum subscription: | USD 1,000 Minimum subsequent subscription: USD 100 |
Fees: | Initial fee: up to 3.00% Exit fee: 0.00% Management fee cl. A: 2.10% Management fee cl. E: 1.25% Performance fee: 10.00% |
Bloomberg: | Class A: COBGSAA LX Class E: COBGSAM LX |
Isin code: | Class A: LU0295370547 Class E: LU0334388005 |