NEF Ethical Bond - Euro R EUR Accumulation

Aktuelle Daten

WKN:
A0NHAT 
ISIN:
LU0102240396 
Fondstyp
Rentenfonds 
Ertragstyp
thesaurierend 
Währung:
EUR 
Kurszeit:
21.08.2025 
Aktuell:
17,03 
Vortag
17,08 
Diff (Vortag):
-0,05 
Diff % (Vortag):
-0,29 
KAG:
Nord Est AM 


Wertentwicklung Ytd 1 Jahr 3 Jahre
NEF Ethical Bond - Euro R EUR Accumulation 0,47% 0,89% 0,95%


Strategie

The objective of the Sub-Fund is to achieve capital appreciation by investing two third of its assets in mid and long term investment grade bonds, traded on the Euroland financial markets, and issued by corporates or by European national governments, European governments agencies and supranational organisations located in Europe. The Sub-Fund is actively managed in reference to the benchmark ICE BofAML Euro Broad Market Index (EUR unhedged) (the "Benchmark"). For the construction of the portfolio, the Benchmark serves as reference in terms of overall exposure to risk factors including country, interest rate and credit position. Amplitude of deviations from the Benchmark varies depending on the degree of conviction of the investment manager. Q Bonds denominated in EUR and issued by non Euroland issuers are as well permitted. The Sub-Fund will not invest in ABS or MBS. The remaining portion of the assets may be invested in others type of bonds (such as but not limited to convertible bonds, warrant on financial instruments, zero coupon bonds). Q The Sub-Fund seeks to invest mainly in bonds with a good Environmental, Social and Governance criteria ("ESG") profile, "green bonds" and "social bond", based on the Investment Manager's in-house research and/or third party ESG ratings. The Sub-Fund promotes, amongst others, some ESG characteristics in compliance with Article 8 of SFDR but does not have sustainable investment as its objective. An exclusion list will further be followed by the investment manager.
NEF Ethical Bond - Euro R EUR Accumulation
Name:
NEF Ethical Bond - Euro R EUR Accumulation 
Ursprungsland
Luxemburg 
Fondsmanager
BNP Paribas AM 
Fondsvolumen
0,00 EUR 
Auflagedatum
11.10.1999 
Geschäftsjahr
01.01. 
Ertragstyp
thesaurierend 
Fondstyp
Rentenfonds 
Region
Euroland 
Unterkategorie
Anleihen Gemischt 
WKN:
A0NHAT 
ISIN:
LU0102240396 
Aktuell:
17,03
Währung
EUR 


Konditionen

Max. Ausgabeaufschlag Verwaltungsgebühr Mindestanlage einmalig Sparplan
1,00% 0,80% 500,00 EUR Ja

Kennzahlen per 21.08.2025

Ytd 1 Jahr 3 Jahre 5 Jahre
Performance 0,47% 0,89% 0,95% -12,35%
Volatilität 4,04% 3,90% 5,41% 5,16%
Sharpe Ratio -0,32% -0,29% -0,32% -0,90%
Bester Monat 1,79% 2,14% 3,08% 3,81%
Schlechtester Monat -1,70% -1,70% -4,82% -4,82%

Fondsstrategie

The objective of the Sub-Fund is to achieve capital appreciation by investing two third of its assets in mid and long term investment grade bonds, traded on the Euroland financial markets, and issued by corporates or by European national governments, European governments agencies and supranational organisations located in Europe. The Sub-Fund is actively managed in reference to the benchmark ICE BofAML Euro Broad Market Index (EUR unhedged) (the "Benchmark"). For the construction of the portfolio, the Benchmark serves as reference in terms of overall exposure to risk factors including country, interest rate and credit position. Amplitude of deviations from the Benchmark varies depending on the degree of conviction of the investment manager. Q Bonds denominated in EUR and issued by non Euroland issuers are as well permitted. The Sub-Fund will not invest in ABS or MBS. The remaining portion of the assets may be invested in others type of bonds (such as but not limited to convertible bonds, warrant on financial instruments, zero coupon bonds). Q The Sub-Fund seeks to invest mainly in bonds with a good Environmental, Social and Governance criteria ("ESG") profile, "green bonds" and "social bond", based on the Investment Manager's in-house research and/or third party ESG ratings. The Sub-Fund promotes, amongst others, some ESG characteristics in compliance with Article 8 of SFDR but does not have sustainable investment as its objective. An exclusion list will further be followed by the investment manager.


Größte Positionen per

BONOS Y OBLIG DEL ESTADO 3,45 31/10/2034 4,14%
BUNDESREPUB. DEUTSCHLAND 15/08/2030 2,97%
EUROPEAN UNION 2,75 04/02/2033 2,53%
BUONI POLIENNALI DEL TES 3,85 01/02/2035 2,51%
BUNDESREPUB. DEUTSCHLAND 4,75 04/07/2034 2,45%
BUNDESREPUB. DEUTSCHLAND 2,5 15/02/2035 2,38%
BUNDESREPUB. DEUTSCHLAND 2,6 15/08/2034 2,26%
FRANCE (GOVT OF) 3,15 25/07/2032 2,01%
IRELAND GOVERNMENT BOND 0,2 15/05/2027 1,53%
BUNDESOBLIGATION 2,5 11/10/2029 1,49%


Fondsgesellschaft

Name Nord Est AM
Adresse: 5, Allée Scheffer, 2520, Luxemburg
Land Luxemburg
Webseite: https://www.nef.lu

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