NEF Emerging Market Bond R EUR Accumulation
Aktuelle Daten
WKN:
A0NHAU
ISIN:
LU0102240552
Fondstyp
Rentenfonds
Ertragstyp
thesaurierend
Währung:
EUR
Kurszeit:
13.08.2025
Aktuell:
25,21
Vortag
25,12
Diff (Vortag):
0,09
Diff % (Vortag):
0,36
KAG:
Nord Est AM
Wertentwicklung | Ytd | 1 Jahr | 3 Jahre |
---|---|---|---|
NEF Emerging Market Bond R EUR Accumulation | 4,52% | 4,09% | 8,95% |
Strategie
The objective of the Sub-Fund is to achieve capital appreciation by investing mainly in a diversified portfolio of mid and long term bonds (including convertible bonds, warrants on transferable securities, zero coupon bonds and treasury bonds with no rating constraint) issued by or guaranteed by national governments or government agencies from non G- 7 States (G-7 consists of Canada, France, Germany, United States, United Kingdom, Italy and Japan). The Sub-Fund is actively managed in reference to the benchmark ICE BofA Emerging Markets External Sovereign Index (excluding constituents rated below B- (B minus)) (EUR hedged) (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, credit and currency positions. Amplitude of deviations from the Benchmarks vary depending on the degree of conviction of the investment manager. Emphasis is placed on bonds issued in the following currencies: Euro, Japanese Yen, Pound Sterling, US Dollar. Financial techniques and instruments for hedging and/or non hedging purposes may be used. Financial techniques and instruments for hedging and/or non hedging purposes may be used. Such financial techniques and instruments shall be used only to the extent they do not hinder the quality of the investment policy of the Sub-Fund.NEF Emerging Market Bond R EUR Accumulation
Name:
NEF Emerging Market Bond R EUR Accumulation
Ursprungsland
Luxemburg
Fondsmanager
Fondsvolumen
0,00 EUR
Auflagedatum
11.10.1999
Geschäftsjahr
01.01.
Ertragstyp
thesaurierend
Fondstyp
Rentenfonds
Region
Emerging Markets
Unterkategorie
Anleihen Gemischt
WKN:
A0NHAU
ISIN:
LU0102240552
Aktuell:
25,21
Währung
EUR
Konditionen
Max. Ausgabeaufschlag | Verwaltungsgebühr | Mindestanlage einmalig | Sparplan |
---|---|---|---|
1,00% | 1,40% | 500,00 EUR | Ja |
Kennzahlen per 13.08.2025
Ytd | 1 Jahr | 3 Jahre | 5 Jahre | |
---|---|---|---|---|
Performance | 4,52% | 4,09% | 8,95% | -9,71% |
Volatilität | 4,10% | 3,95% | 5,60% | 5,80% |
Sharpe Ratio | 1,32% | 0,52% | 0,16% | -0,70% |
Bester Monat | 1,90% | 1,90% | 6,71% | 6,71% |
Schlechtester Monat | -1,51% | -1,86% | -5,97% | -5,98% |
Fondsstrategie
The objective of the Sub-Fund is to achieve capital appreciation by investing mainly in a diversified portfolio of mid and long term bonds (including convertible bonds, warrants on transferable securities, zero coupon bonds and treasury bonds with no rating constraint) issued by or guaranteed by national governments or government agencies from non G- 7 States (G-7 consists of Canada, France, Germany, United States, United Kingdom, Italy and Japan). The Sub-Fund is actively managed in reference to the benchmark ICE BofA Emerging Markets External Sovereign Index (excluding constituents rated below B- (B minus)) (EUR hedged) (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, credit and currency positions. Amplitude of deviations from the Benchmarks vary depending on the degree of conviction of the investment manager. Emphasis is placed on bonds issued in the following currencies: Euro, Japanese Yen, Pound Sterling, US Dollar. Financial techniques and instruments for hedging and/or non hedging purposes may be used. Financial techniques and instruments for hedging and/or non hedging purposes may be used. Such financial techniques and instruments shall be used only to the extent they do not hinder the quality of the investment policy of the Sub-Fund.Größte Positionen per
GREENSAIF PIPELINES BIDC 6,51 23/02/2042 | 2,01% |
GALAXY PIPELINE ASSETS 2,94 30/09/2040 | 1,83% |
HUNGARY 4,875 | 1,65% |
UNITED MEXICAN STATES 3,5 12/02/2034 | 1,61% |
REPUBLIC OF INDONESIA 8,5 12/10/2035 | 1,54% |
REPUBLIC OF PERU 3 15/01/2034 | 1,48% |
BULGARIA 4,875 13/05/2036 | 1,46% |
UNITED MEXICAN STATES 7,5 08/04/2033 | 1,46% |
STATE OF ISRAEL 5,75 12/03/2054 | 1,41% |
REPUBLIC OF COLOMBIA 3,25 22/04/2032 | 1,36% |
Fondsgesellschaft
Name | Nord Est AM |
---|---|
Adresse: | 5, Allée Scheffer, 2520, Luxemburg |
Land | Luxemburg |
Webseite: | https://www.nef.lu |
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