Fund Objective
To provide income with the prospect of capital growth by investing primarily in global Investment Grade corporate Debt Securities. At least 80% of the Fund's assets will be invested in global Investment Grade corporate Debt Securities including Emerging Markets either directly or through derivatives. The Fund may also invest global Debt Securities issued by governments, excluding supranationals, local governments and agencies, and may invest in Below Investment Grade and Unrated Debt Securities to a limited extent. Financial Derivative Instruments may be used for Investment purposes or Efficient Portfolio Management, including hedging, where appropriate. The Fund may invest up to 5% in Contingent Convertible Securities. The Fund may invest in assets denominated in any currency and non-Sterling currency exposure will primarily be hedged back to Sterling.
Cumulative Performance
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Discrete Performance
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Ratio Information
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Fund Managers
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Unit Information
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Fund Information
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Asset Class Breakdown
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Top Holdings
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Contact Details
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Cumulative Performance
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Discrete Performance
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Discrete Calendar Performance
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Ratio Information
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Unit Details
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MIFID - Target Market, Costs & Charges
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Top Holdings
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Asset Class Breakdown
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Region Breakdown
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Sector Breakdown
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Fund Dividends
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Group News
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Relevant Articles
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Literature & Downloads
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