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LU1894681052 - Amundi Funds - Pioneer Income Opportunities A2 EUR

Amundi Funds - Pioneer Income Opportunities A2 EUR - LU1894681052

Rentabilidad

Rentabilidad YTD
0,07%
Rentabilidad 1 año
0,14%
Rentabilidad 3 años
0,33%
Rentabilidad 5 años
0,51%

Información general del fondo LU1894681052

ISIN
LU1894681052
Categoría
Multi-Asset
Gestora
Amundi
Clase de activo
Mixed Asset
Divisa
EUR
Estilo de inversión
Activa
Benchmark
100% ICE BOFA US 3-MONTH TREASURY BILL INDEX
Patrimonio (AUM)
171.236.595 EUR
Nivel de riesgo (SRRI)
5/7
Fecha de lanzamiento
31/05/2018
Distribución o acumulación
distributing

Estrategia de inversión

 

Seeks to provide income and as a secondary objective capital appreciation over the recommended holding period. The Sub-Fund has the flexibility to invest in a broad range of income-producing securities from around the world, including in emerging markets. This may include equities, government and corporate bonds and money market securities. The Sub-Fund’s bond investments may be of any quality (investment grade or below) including up to 20% in asset-backed and mortgage-related securities, and up to 20% in convertible securities. The Sub-Fund may invest up to 10% in contingent convertible bonds and may also seek exposure to real estate.

Ratios del fondo Amundi Funds - Pioneer Income Opportunities A2 EUR

Comisiones (TER)
0,02%
Comisión de gestión
0,02%
Comisión de éxito
0,00%
Ratio de Sharpe (3 años)
1,11
Volatilidad (3 años)
0,06%
Máximo drawdown (5 años)
-0,07%

Cartera del fondo

ACCENTURE PLC
0,01%
BANCO DE SABADELL S.A.
0,02%
BANK OF AMERICA CORPORATION
0,05%
BRISTOL-MYERS SQUIBB COMPANY
0,01%
EVERSOURCE ENERGY
0,02%
SHELL PLC
0,03%
HUNTINGTON BANCSHARES INCORPORATED
0,01%
JAPAN(GOVERNMENT OF) 0.4% BDS 20/06/41 JPY50000
0,01%
TREASURY NOTE (OTR)
0,01%
U.S. BANCORP
0,01%

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