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UBAM - Global Aggregate Bond AHD GBP

Contattateci

Investment strategy

Comunicazione di marketing

Performance

UBAM - Global Aggregate Bond AHD GBP
VNI - Valore Netto d'Inventario
Data
Fonti des Dati : UBP SA
Storico di performance MTD YTD 1 anno 3 anni 5 anni ITD
Storico di performance

Disclaimer
Le performance passate non costituiscono una garanzia di quelle future. I dati di rendimento indicati comprendono i dividendi lordi reinvestiti e le spese correnti, ma non includono le commissioni di sottoscrizione/rimborso e le imposte a carico dell'investitore. Per i clienti privati, non sono indicati i dati sulla performance per i comparti con un record di performance inferiore a 12 mesi. Per i clienti commerciali, la performance inferiore all'anno è cumulata, la performance sopra all'anno è annualizzata. Per i comparti denominati in una valuta diversa da quella del fondo, il rendimento può essere ridotto o aumentato in base alle fluttuazioni dei tassi di cambio. Il valore degli investimenti può aumentare o diminuire e gli investitori potrebbero non recuperare tutto o parte dell'importo investito. Fonti des Dati: UBP SA

Library

LEGAL DOCUMENT
Titolo Aggiornato Inglese Tedesco
Annual report 31.12.2022 PDF
Prospectus 30.12.2022 PDF
Semi-annual report 30.06.2023 PDF
Statuts – Articles of Association 06.04.2023 PDF

Registration

ATAustria
BEBelgio
CHSvizzera
DEGermania
DKDanimarca
ESSpagna
FIFinlandia
FRFrancia
GBRegno Unito
IEIrlanda
ILIsraele
ISIslanda
ITItalia
KRCorea del Sud
LULussemburgo
NLPaesi Bassi
NONorvegia
PTPortogallo
SESvezia
SGSingapore
TWTaiwan
ZASudafrica
ATAustria
BEBelgio
CHSvizzera
DEGermania
DKDanimarca
ESSpagna
FIFinlandia
FRFrancia
GBRegno Unito
IEIrlanda
ILIsraele
ISIslanda
ITItalia
KRCorea del Sud
LULussemburgo
NLPaesi Bassi
NONorvegia
PTPortogallo
SESvezia
SGSingapore
TWTaiwan
ZASudafrica

Italia: le classi I sono notificate soltanto alla CONSOB (autorità per la vigilanza dei mercati finanziari).

Singapore: I comparti registrati presso la MAS (Monetary Authority of Singapore) possono solo essere offerti agli «accredited investors».


Fiscal information

Titre Statut
Fine dell'anno fiscale 31 December
UKRFS Yes Reportable Income
Trasparenza per la Germania No
Trasparenza per l'Austria No
Reporting per l'Italia Yes
RNI Svizzera Yes

Sustainability-related disclosure

 

Summary

This Sub-Fund is denominated in USD and invests a majority of its net assets in international bonds and other debt securities issued by sovereign / quasi sovereign issuers or other companies and denominated primarily in USD, EUR, JPY, GBP and CHF.

It promotes environmental and social characteristics but does not have as its objective sustainable investment.

The Sub-Fund promotes social characteristics by supporting the ten principles of the United Nations Global Compact through the exclusions of companies in breach of the United Nations Global Compact (UNGC).

The Sub-Fund promotes environmental characteristics by supporting transparent policies of corporate bond issuers towards a net-zero emission path.

A minimum of 50% of this Sub-Fund’s bond allocation will be invested in issuers deemed to maintain E/S characteristics as measured by MSCI ESG research, that is bearing an ESG rating equal or superior to BBB for developed markets issuers and equal or superior to BB for non-developed market issuers. In the absence of a rating from MSCI, an internal rating may be assigned by the Investment Manager.

The ESG approach starts with exclusions, in line with the Investment Manager’s Responsible Investment Policy. This is followed by ESG Integration: the issuer selection derives from the analysis of both environmental, social and governance (extra-financial) material factors and financial factors. . Finally, the Investment Manager prefers Green and Sustainability Bonds, subject to availability, liquidity, and relative value analysis.

The good governance practices are assessed alongside the environmental and social characteristics in the 2nd pillar of the ESG process described above.

ESG analysis covers at least 80% of the Sub-Fund's allocation to bonds.

This Sub-Fund invests at least 51% in bonds aligned with the environmental and social characteristics promoted by the strategy.

The binding criteria used to attain each of the environmental and/or social characteristics promoted by the Sub-Fund are integrated in control systems, to ensure pre- and post‑trade checks. Compliance is monitored by the Risk department on an ongoing basis.

The Investment Manager may use data reported directly by issuers or sourced from third-party data providers such as, but not limited to, MSCI ESG Research or Sustainalytics. The service and data quality provided by third-party ESG data providers are reviewed regularly.

Depending on the metric considered, some data may be estimated by data providers. Although the Investment Manager applies a thorough selection process of third-party providers, their processes and proprietary ESG methodology may be flawed. As a result, there is a risk of incorrectly assessing an issuer, resulting in an inappropriate capture of ESG risks and potential incorrect inclusion or exclusion in the product. This is expected to have limited impact on the overall environmental and/or social characteristics promoted by the product.

The investment due diligence process ensures that the investment decisions comply with the objectives and the investment strategy of the Sub-Fund. The consideration of sustainability-related risks is integrated into the investment decision-making process to ensure better-informed investment decisions as well as awareness of the risk exposure. The first level of due diligence is conducted by the Investment Manager, while the second level is conducted by the Risk department.

Engagement with investee companies may occur. It can be conducted collaboratively as well as directly by the Investment Manager.

No reference benchmark has been designated for the purpose of attaining the environmental or social characteristics promoted by this Sub-Fund.

For more information, please see the fund’s Sustainability-related disclosures.

  • Codice ISIN
  • LU0782383649
  • Dati al
  • 29.08.2023
  • Ultimo VNI
  • 144.40 GBP
  • Patrimonio del fondo
  • 28.41M USD

Dati del fondo

  • Nome del fondo UBAM
  • Struttura legale SICAV
  • Giurisdizione Luxembourg

Dati del subfondo

  • Valuta di base GBP
  • Classe di asset Fixed Income
  • Orientamento geografico Global
  • Data di attivazione 12.07.1996
  • Classificazione SFDR 8

Dati della classe di quote

  • Descrizione AHD GBP
  • Data di attivazione 20.10.2017
  • Tipo di dividendo Distribution (yearly)
  • Partecipazione minima iniziale en Investimento minimo None
  • Sottoscrizione Daily
  • Riscatto Daily
  • Commissione di gestione 0.50%
  • Commissione di performance No
  • Aliquota commissione di performance N/A
  • Ultimo dividendo 5.40 GBP 21.04.2023

Identificatori en Riferimenti del fondo

  • Bloomberg UGBAHDG LX
  • Telekurs 18549891
  • Reuters N/A
  • WKN A2JKBE
  • SEDOL N/A
  • Morningstar N/A
  • Financial Express -

Gestiore

    Philippe Gräub / Mohammed Kazmi