
Anteo Fxd Inc Relatv Val and Opps B CHF - LU1363161412
OBIETTIVO DI INVESTIMENTO DICHIARATO
The investment objective of the fund is to provide compelling absolute return performance by profiting from market dislocations, relative value and market opportunities in rates and credit.
ANAGRAFICA E INDICATORI
ISIN: LU1363161412 | Società di Gestione: MultiConcept |
Prezzo/Nav al 24/07/2020: 111,95 CHF | Valuta: CHF |
Investimento minimo: 1.000,00 CHF | |
Categoria Morningstar: Obbligazionari Altro | |
Benchmark dichiarato: ND | |
Benchmark Morningstar: ND |
COMMISSIONI |
Da prospetto |
---|---|
Commissione di ingresso massima | 0,00% |
Commissione di uscita massima | ND |
Commissione di gestione | 0,80% |
Commissione di performance | SI |
RATING E RISCHIO
RENDIMENTI |
Fondo | Categoria |
---|---|---|
Rendimento YTD % | -3,00% | ND |
Rendimento 1 anno % | -0,59% | ND |
Rendimento 3 anni % | ND | ND |
Rendimento 5 anni % | ND | ND |
Rendimento 10 anni % | ND | ND |
VISUALIZZA DOCUMENTAZIONE DI OFFERTA
FONDI ACQUISTABILI
AS SICAV I Indian Bond A Acc H EUR - LU1650570317 |
AS SICAV I Indian Bond A Acc USD - LU1254412205 |
AS SICAV I Indian Bond A MInc EUR - LU1254412387 |
AS SICAV I Indian Bond A MInc USD - LU1254412114 |
AS SICAV I Indian Bond W Acc USD - LU1650570408 |
AB Financial Credit A2 EURH Acc - LU1808994054 |
AB Financial Credit A2 USD Acc - LU1808993080 |
AB RMB Income Plus A2 Acc - LU0633139042 |
AB RMB Income Plus C2 Acc - LU0654558385 |
Allianz Global Floating Rt Nts + AH2EUR - LU1740661084 |
Allianz Global Floating Rt Nts + AT USD - LU1740659690 |
Allianz Global Floating Rt Nts + ATH2EUR - LU1740661167 |
CS (Lux) Floating Rate Credit A USD - LU1699964828 |
CS (Lux) Floating Rate Credit B USD - LU0458985636 |
CS (Lux) Floating Rate Credit BH EUR - LU0458985800 |
CS (Lux) Inflation Linked CHF Bond A - LU0175163707 |
CS (Lux) Inflation Linked CHF Bond B - LU0175163889 |
CS (Lux) Latin America Corp Bd A USD - LU2022004787 |
CS (Lux) Latin America Corp Bd B USD - LU2022005164 |
Fidelity Em Mkts Infl-Lnkd Bd A-Acc-EUR - LU0699195888 |
Fidelity Em Mkts Infl-Lnkd Bd A-MD-EUR - LU0840139512 |
Fidelity Em Mkts Infl-Lnkd Bd E-Acc-EUR - LU0766124399 |
Fidelity Em Mkts Infl-Lnkd Bd E-MD-EUR - LU0840139603 |
Fidelity Global Hybrids Bond A-Acc-EUR - LU2207557542 |
Fidelity Global Hybrids Bond A-Acc-EURH - LU2206821022 |
Fidelity Global Hybrids Bond A-Dis-EUR - LU2206820990 |
Franklin Gulf Wealth Bond A(acc) USD - LU0962741061 |
Franklin Gulf Wealth Bond A(Mdis) USD - LU0962741228 |
Legg Mason WA Struct Opps D EUR H Acc - IE00BF3FP789 |
Legg Mason WA Struct Opps D EUR H Dis(M) - IE00BF3FP896 |
Legg Mason WA StructOpps D USD Acc - IE00BF3FPB22 |
Legg Mason WA StructOpps D USD Dis(M) - IE00BF3FPC39 |
Legg Mason WA US MB Secs A USD Dis(M)+e - IE00BCQNQK89 |
GAM Multibond ABS EUR B - LU0189453128 |
GAM Multibond ABS EUR E - LU0189454019 |
GAM Star Cat Bond A EUR Acc - IE00B6S4V579 |
GAM Star Cat Bond Ord EUR Acc - IE00B3Q8M574 |
GAM Star Cat Bond USD Acc - IE00B4VZPG27 |
GAM Star Credit Opps (USD) A USD Acc - IE00B566P016 |
GAM Star Credit Opps (USD) AQ II USD Inc - IE00BTFRNY37 |
GAM Star Credit Opps (USD) C USD Acc - IE00B51RDZ02 |
GAM Star Credit Opps (USD) Ord USD Acc - IE00B560QG61 |
GAM Star MBS Total Return A EUR Acc - IE00BQV1BD35 |
GAM Star MBS Total Return A USD Acc - IE00BQXKXZ40 |
GAM Star MBS Total Return C EUR Acc - IE00BP266J13 |
GAM Star MBS Total Return CQ II USD Inc - IE00BTFRP031 |
HSBC GIF Brazil Bond AC - LU0254978488 |
HSBC GIF Brazil Bond AD - LU0254979023 |
HSBC GIF Brazil Bond BC - LU0954269725 |
HSBC GIF Brazil Bond EC - LU0254979965 |
HSBC GIF GlInGd Sctsd Crdt Bd AC - LU1194161672 |
HSBC GIF GlInGd Sctsd Crdt Bd ACHEUR - LU1863923964 |
HSBC GIF GlInGd Sctsd Crdt Bd AD - LU1822287618 |
HSBC GIF GlInGd Sctsd Crdt Bd ADHEUR - LU1876069268 |
HSBC GIF GlInGd Sctsd Crdt Bd BC - LU1822288186 |
HSBC GIF GlInGd Sctsd Crdt Bd BCHEUR - LU1863924004 |
HSBC GIF GlInGd Sctsd Crdt Bd BD - LU1822288269 |
HSBC GIF GlInGd Sctsd Crdt Bd BDHEUR - LU1876069342 |
HSBC GIF Global Asset-Backed Bd EC - LU1822287709 |
HSBC GIF Global Asset-Backed Bd ECHEUR - LU1863924186 |
HSBC GIF India Fixed Income AC - LU0780247804 |
HSBC GIF India Fixed Income AD - LU0780247986 |
HSBC GIF India Fixed Income BC - LU0955573331 |
HSBC GIF India Fixed Income BCEUR - LU0954275458 |
HSBC GIF India Fixed Income BD - LU1679049129 |
HSBC GIF India Fixed Income EC - LU0780248018 |
Invesco India Bond A EUR H Acc - LU1814058563 |
Invesco India Bond A EURH AD-GI - LU0996662184 |
Invesco India Bond A USD Acc - LU0996662002 |
Invesco India Bond A USD Fxd MD - LU1252824740 |
Invesco India Bond A USD MD-GI - LU0996661962 |
Invesco India Bond E EUR Acc - LU1590493372 |
Invesco India Bond E EURH MD-GI - LU0996662424 |
Invesco India Bond R EUR Acc - LU1590493455 |
Invesco India Bond R EURH MD-GI - LU0996662697 |
Lemanik SICAV Actv S/T Crdt Cap Ret EURA - LU0117369479 |
Lemanik SICAV Actv S/T Crdt Dis Retl EUR - LU1112682825 |
Lemanik SICAV Selected Bd Dis Retl EUR A - LU0099064445 |
Lemanik SICAV Selected Bond Cap Retl EUR - LU0840526478 |
Planetarium Anthilia Yellow A EUR - LU1377525735 |
MS INVF Global Asset Backed Secs A USD - LU0858068074 |
MS INVF Global Asset Backed Secs AH EUR - LU0858068660 |
MS INVF Global Asset Backed Secs AHR EUR - LU0857970346 |
MS INVF Global Asset Backed Secs AHX EUR - LU0858068744 |
MS INVF Global Asset Backed Secs B USD - LU0858081689 |
MS INVF Global Asset Backed Secs BH EUR - LU0858081929 |
MS INVF Global Asset Backed Secs BHR EUR - LU0857971310 |
MS INVF Global Asset Backed Secs BHX EUR - LU0858082067 |
MS INVF Global Asset Backed Secs C USD - LU0858081846 |
MS INVF Global Asset Backed Secs CH EUR - LU0858082224 |
MS INVF Global Asset Backed Secs CHR EUR - LU1808493438 |
MS INVF Global Asset Backed Secs CHX EUR - LU0858082497 |
Ninety One GSF Lat Am Corp Dbt A Acc USD - LU0492942718 |
Ninety One GSF Lat Am Corp Dbt A Inc2 $ - LU0553431791 |
Ninety One GSF Lat Am Corp Dbt C Acc USD - LU0492942809 |
Ninety One GSF Lat Am Corp Dbt C Inc-2 $ - LU0492942551 |
Ninety One GSF Lat Am Inv Grd Corp Dbt A - LU1512938595 |
Ninety One GSF Lat Am Inv Grd Corp Dbt C - LU1512938678 |
Ninety One GSF LatAm Corp Dbt A Acc € H - LU1578889609 |
NN (L) AAA ABS X Cap EUR - LU1835818565 |
Nordea 1 - Renminbi Bd BP EUR - LU1221952101 |
Nordea 1 - Renminbi Bd E EUR - LU1221952283 |
Pictet-Latin Amer Lcl Ccy Dbt R dm USD - LU0852478758 |
Pictet-Latin Amer Lcl Ccy Dbt R EUR - LU0325328705 |
Pictet-Latin Amer Lcl Ccy Dbt R USD - LU0325328374 |
PIMCO GIS Capital Scs E EURH Acc - IE00BFRSV973 |
PIMCO GIS Capital Scs E EURH Inc - IE00BZBWL408 |
PIMCO GIS Capital Scs E USD Acc - IE00BFRSV866 |
PIMCO GIS Capital Scs E USD Inc - IE00BLZH2N98 |
Schroder ISF Securitised Crdt A Acc USD - LU1662754586 |
SWC (LU) BF Responsible COCO AAH CHF - LU1100907903 |
SWC (LU) BF Responsible COCO AAH EUR - LU1057798107 |
SWC (LU) BF Responsible COCO AT - LU0599119962 |
SWC (LU) BF Responsible COCO ATH CHF - LU0599119533 |
SWC (LU) BF Responsible COCO ATH EUR - LU0599119707 |
Le informazioni su Fondi Comuni di Investimento, Sicav e Fondi Pensione Aperti messe a disposizione sul Sito sono di esclusiva proprietà di Morningstar Italy S.r.l. (http://www.morningstar.it/it/). Innofin non è pertanto in alcun modo responsabile della veridicità, completezza e aggiornamento delle Informazioni.