
SLI Global Abs Ret Strats A Acc USD Hdg - LU0548154680
OBIETTIVO DI INVESTIMENTO DICHIARATO
Il fondo mira a offrire rendimenti positivi degli investimenti in tutte le condizioni di mercato nel mediolungo termine. Il fondo farà un ampio uso di derivati allo scopo di ridurre il rischio o il costo, di generare capitale o reddito aggiuntivo a basso rischio, ovvero di soddisfare il proprio obiettivo d'investimento. L'uso di derivati è monitorato allo scopo di assicurare che il fondo non sia esposto a rischi eccessivi o indesiderati. Il reddito percepito dal fondo (come ad esempio il reddito da dividendi) sarà reinvestito. Gli investitori nel fondo possono acquistare e vendere azioni in qualsiasi normale giorno lavorativo.
ANAGRAFICA E INDICATORI
ISIN: LU0548154680 | Società di Gestione: Aberdeen Standard Investments |
Prezzo/Nav al 22/01/2021: 13,68 USD | Valuta: USD |
Investimento minimo: 1.000,00 EUR | |
Categoria Morningstar: Alternativi - Multistrategy | |
Benchmark dichiarato: 100% Euribor 6 Month EUR | |
Benchmark Morningstar: ND |
COMMISSIONI |
Da prospetto |
---|---|
Commissione di ingresso massima | 5,00% |
Commissione di uscita massima | ND |
Commissione di gestione | 1,60% |
Commissione di performance | ND |
RATING E RISCHIO
RENDIMENTI |
Fondo | Categoria |
---|---|---|
Rendimento YTD % | 1,40% | ND |
Rendimento 1 anno % | -3,51% | ND |
Rendimento 3 anni % | 3,27% | ND |
Rendimento 5 anni % | 0,08% | ND |
Rendimento 10 anni % | ND | ND |
VISUALIZZA DOCUMENTAZIONE DI OFFERTA
FONDI ACQUISTABILI
AS SICAV I Lstd Prvt Cap A Acc USD - LU1834168475 |
AS SICAV I Lstd Prvt Cap W Acc USD - LU1867140243 |
AS SICAV I Lstd Prvt Cp A H Acc EUR - LU1901853546 |
AS SICAV I Latin Amer Eq A Acc EUR - LU0396314667 |
AS SICAV I Latin Amer Eq A Acc USD - LU0396314238 |
AS SICAV I Latin Amer Eq A AccH EUR - LU0566486667 |
AS SICAV I Latin Amer Eq S Acc USD - LU0476875785 |
AS SICAV I Asn Smllr Coms A Acc USD - LU0231459107 |
AS SICAV I Asn Smllr Coms A AIncEUR - LU0498180685 |
AS SICAV I Asia Pac Eq A Acc EUR - LU0498180339 |
AS SICAV I Asia Pac Eq A Acc H EUR - LU0566486402 |
AS SICAV I Asia Pac Eq A Acc USD - LU0011963245 |
AS SICAV I Asia Pac Eq A AInc USD - LU0231476960 |
AS SICAV I Asia Pac Eq S Acc USD - LU0476875868 |
AS SICAV I Asia Pac Eq W Acc USD - LU1254604454 |
AS SICAV I AUS Equity A Acc AUD - LU0011963328 |
AS SICAV I Japanese Eq A Acc EUR - LU0498185056 |
AS SICAV I Japanese Eq A Acc H CHF - LU0476876593 |
AS SICAV I Japanese Eq A Acc H EUR - LU0476876759 |
AS SICAV I Japanese Eq A Acc JPY - LU0011963674 |
AS SICAV I Japanese Eq S Acc H CHF - LU0476876320 |
AS SICAV I Japanese Eq S Acc H EUR - LU0476876676 |
AS SICAV I Japanese Eq S Acc JPY - LU0476876247 |
AS SICAV I Japanese Eq W Acc JPY - LU1254609925 |
AS SICAV I Jpn SmlrComs A Acc H EUR - LU0476877054 |
AS SICAV I Jpn SmlrComs A Acc JPY - LU0278936439 |
AS SICAV I Jpn SmlrComs S Acc JPY - LU0476876833 |
AS SICAV I Jpn SmlrComs W Acc JPY - LU1254610188 |
AS SICAV I Artfcl Intl Glbl Eq A USD - LU1838099031 |
AS SICAV I Artfcl Intl Glbl Eq W USD - LU1867140169 |
AS SICAV I World Equity A Acc EUR - LU0498189041 |
AS SICAV I World Equity A Acc USD - LU0094547139 |
AS SICAV I Mltfct Glbl Eq A Acc EUR - LU1703976222 |
AS SICAV I Mltfct Glbl Eq Inc A SInc EUR - LU1581389308 |
AS SICAV I Wld Smllr Coms A Acc EUR - LU0728929174 |
AS SICAV I Wld Smllr Coms A Acc USD - LU0728928796 |
AS SICAV I All China Equity A Acc H EUR - LU0854914826 |
AS SICAV I All China Equity A Acc USD - LU0231483743 |
AS SICAV I All China Equity S Acc USD - LU0476876163 |
AS SICAV I China A Share Eq A Acc USD - LU1146622755 |
AS SICAV I China A Share Eq AAccH EUR - LU1848873714 |
AS SICAV I China A Share Eq WAcc USD - LU1848764269 |
AS SICAV I China A Share Eq WAccH EUR - LU1848764343 |
AS SICAV I Indian Equity A Acc EUR - LU0498184596 |
AS SICAV I Indian Equity A Acc USD - LU0231490524 |
AS SICAV I Asn Prpty Shr A Acc USD - LU0396313180 |
AS SICAV I Asn Prpty Shr A AccH EUR - LU0476875603 |
AS SICAV I Asn Prpty Shr S Acc USD - LU0476875439 |
AS SICAV I WldResEq A Acc H CHF - LU0505663236 |
AS SICAV I WldResEq A EUR Acc - LU0505663822 |
AS SICAV I WldResEq A EUR Acc H - LU0505663400 |
AS SICAV I WldResEq A USD Acc - LU0505663152 |
AS SICAV I WldResEq S Acc H EUR - LU0505784883 |
AS SICAV I WldResEq S USD Acc - LU0505784297 |
AS SICAV I Global Inno Eq A Acc USD - LU0107464264 |
AS SICAV I Global Inno Eq S Acc USD - LU0476877211 |
AS SICAV I UK Eq A Acc GBP - LU0011963757 |
AS SICAV I American Focused Eq A Acc USD - LU0011963831 |
AS SICAV I NA SmComs A Acc H EUR - LU1323878188 |
AS SICAV I NA SmComs A Acc USD - LU0566484027 |
AS SICAV I NA SmComs W Acc USD - LU1475069537 |
AS SICAV I Eurp Eq Ex UK A Acc EUR - LU0231484808 |
AS SICAV I European Eq A Acc EUR - LU0094541447 |
AS SICAV I European Eq S Acc EUR - LU0476876080 |
AS SICAV I European Eq W Acc EUR - LU2220530211 |
AS SICAV I Eurp Eq Div A Acc EUR - LU0505661966 |
AS SICAV I Eurp Eq Div A Acc H CHF - LU0505662006 |
AS SICAV I Eurp Eq Div A Acc H USD - LU0505662188 |
AS SICAV I Eurp Eq Div A AInc EUR - LU0505661883 |
AS SICAV I Eurp Eq Div S Acc EUR - LU0505783562 |
AS SICAV I Em Mkts Eq A Acc EUR - LU0498181733 |
AS SICAV I Em Mkts Eq A Acc H CHF - LU0510758203 |
AS SICAV I Em Mkts Eq A Acc USD - LU0132412106 |
AS SICAV I Em Mkts Eq S Acc USD - LU0476875942 |
AS SICAV I EM Smlr Coms A Acc USD - LU0278937759 |
AS SICAV I Estn Eurp Eq A Acc EUR - LU0505664713 |
AS SICAV I Estn Eurp Eq S Acc EUR - LU0505785005 |
AS SICAV I Russian Equity A Acc EUR - LU0505665959 |
AS SICAV I Russian Equity S Acc EUR - LU0505785260 |
AS SICAV I EM Infras Eq A Acc H CHF - LU0523223674 |
AS SICAV I EM Infras Eq A Acc H EUR - LU0523223328 |
AS SICAV I EM Infras Eq A Acc USD - LU0523223757 |
AS SICAV I EM Infras Eq A QInc USD - LU0523223161 |
AS SICAV I EM Infras Eq S Acc H EUR - LU0523222866 |
AS SICAV I EM Infras Eq S Acc USD - LU0523221975 |
AS SICAV I Asia Pac MltAst A Acc EUR - LU1629966570 |
AS SICAV I Asia Pac MltAst A Acc USD - LU1629966141 |
AS SICAV I Asia Pac MltAst A AccH CHF - LU1629966224 |
AS SICAV I Asia Pac MltAst A AccH EUR - LU1629966497 |
AS SICAV I Asia Pac MltAst W Acc USD - LU1629966810 |
AS SICAV I Asia Pac MltAst W QInc USD - LU1629966653 |
AS SICAV I Dvrs Gr A Acc EUR - LU1402171232 |
AS SICAV I Dvrs Gr W Acc EUR - LU1475069453 |
AS SICAV I Dvrs Inc A MInc EUR - LU1124235240 |
AS SICAV I Dvrs Inc A MInc Hdg EUR - LU1239090977 |
AS SICAV I Dvrs Inc A MInc USD - LU1124234862 |
AS SICAV I Dvrs Inc W MInc Hdg EUR - LU1650570234 |
AS SICAV I Dvrs Inc W MInc USD - LU1475069297 |
AS SICAV I AUS Dllr Govt Bd A Acc - LU1760136132 |
AS SICAV I AUS Dllr Govt Bd A QInc - LU1760136058 |
AS SICAV IV EM Bd Fd Mt 2024 A QInc HEUR - LU2146145888 |
AS SICAV IV EM Bd Fd Mt 2024 A QInc USD - LU2146146001 |
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 |
AS SICAV I - Asian Bond A Acc EUR H - LU1814411606 |
AS SICAV I - Asian Bond A Acc USD - LU1814411515 |
AS SICAV I - Asian Bond A QInc USD - LU1814411432 |
AS SICAV I Asn LcCy STBd A Acc EUR - LU0498180503 |
AS SICAV I Asn LcCy STBd A Acc USD - LU0094548533 |
AS SICAV I Asn LcCy STBd A AccH CHF - LU0637933531 |
AS SICAV I Asn LcCy STBd A AccH EUR - LU0619785693 |
AS SICAV I Asn LcCy STBd A QInc USD - LU0011964219 |
AS SICAV I Asian Crdt Bd A Acc USD - LU1254413948 |
AS SICAV I CHN Onshore Bd A Acc USD - LU1808738725 |
AS SICAV I CHN Onshore Bd W Acc EUR - LU1834169010 |
AS SICAV I CHN Onshore Bd W Acc USD - LU1834169101 |
AS SICAV I Euro S/T Bd A Acc EUR - LU1646951316 |
AS SICAV I Euro S/T Bd A SInc EUR - LU1646951233 |
AS SICAV I Euro Govt Bd A Acc EUR - LU1646950771 |
AS SICAV I Euro Govt Bd A SInc EUR - LU1646950698 |
AS SICAV I SelEuro HYBd A Acc EUR - LU0119176310 |
AS SICAV I SelEuro HYBd A Acc H GBP - LU0411469827 |
AS SICAV I SelEuro HYBd A Acc H USD - LU0323164250 |
AS SICAV I SelEuro HYBd A MInc EUR - LU0119174026 |
AS SICAV I SelEuro HYBd A MIncH GBP - LU0411469744 |
AS SICAV I SelEuro HYBd W Acc EUR - LU1254612804 |
AS SICAV I SelEuro HYBd W Minc EUR - LU1254612713 |
AS SICAV I Wld Crdt Bd A Acc USD - LU1297487453 |
AS SICAV I Wld Crdt Bd A SInc H GBP - LU1297491133 |
AS SICAV I Wld Crdt Bd A SInc USD - LU1297487024 |
AS SICAV I GDP WtdGlb GovtBd A Acc EUR - LU0963897870 |
AS SICAV I GDP WtdGlb GovtBd A Acc USD - LU0963865323 |
AS SICAV I Global Govt Bd A SInc - LU1760135670 |
AS SICAV I USD Crdt Bd A Acc CAD - LU1646952983 |
AS SICAV I USD Crdt Bd A Acc USD - LU1646952801 |
AS SICAV I USD Crdt Bd A Inc CAD - LU1646952710 |
AS SICAV I USD Crdt Bd A Inc USD - LU1646952637 |
AS SICAV I USD S/T Bd A Acc USD - LU1646954252 |
AS SICAV I USD S/T Bd A SInc USD - LU1646954179 |
AS SICAV I EM Corp Bd A Acc H EUR - LU0654954816 |
AS SICAV I EM Corp Bd A Acc USD - LU0566480116 |
AS SICAV I EM Corp Bd A MInc USD - LU0566480033 |
AS SICAV I EM Corp Bd W Acc USD - LU1254606665 |
AS SICAV I EM Corp Bd W MInc USD - LU1254606582 |
AS SICAV I EM LcCy CorpBd A Acc USD - LU1310575805 |
AS SICAV I EM LcCy Bd A Acc EUR - LU0396318577 |
AS SICAV I EM LcCy Bd A Acc USD - LU0396317926 |
AS SICAV I EM LcCy Bd A MInc USD - LU0396317843 |
AS SICAV I EM Ttl Ret Bd A Acc HEUR - LU1760136645 |
AS SICAV I EM Ttl Ret Bd A Acc USD - LU1760136561 |
AS SICAV I Frntr Mkts Bd A Acc USD - LU1725895616 |
AS SICAV I Frntr Mkts Bd A AccH EUR - LU1919971074 |
AS SICAV I Frntr Mkts Bd A MInc USD - LU0963865083 |
AS SICAV I Frntr Mkts Bd W Acc USD - LU1756175581 |
AS SICAV I Frntr Mkts Bd W MInc USD - LU1756175318 |
AS SICAV I Sel EM Bd A Acc H CHF - LU0487189069 |
AS SICAV I Sel EM Bd A Acc H EUR - LU0376989207 |
AS SICAV I Sel EM Bd A Acc USD - LU0132414144 |
AS SICAV I Sel EM Bd A MInc H EUR - LU0908660441 |
AS SICAV I Sel EM Bd A MInc USD - LU0132413252 |
AS SICAV I Sel EM Bd W Acc USD - LU1254612390 |
AS SICAV I Sel EM Bd W MInc USD - LU1254612127 |
AS SICAV I Sel EM InGdBd A Acc USD - LU1124233039 |
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.