Schroder International Selection Fund Alternative Securitised Income
Schroder International Selection Fund Alternative Securitised Income
Clases disponibles | ISIN | Dónde lo puedes comprar | Útimo valor liquidativo | Rentabilidad 3 años | Inversión mínima | Coste de Gestión | |
---|---|---|---|---|---|---|---|
LU2114933646 | 87,94CHF | 4,66% | — | 0,000% | |||
LU2114933489 | 97,29CHF | 4,65% | — | 0,000% | |||
LU2114932325 | 93,17$ | 4,57% | — | 0,000% | |||
LU2114932168 | 103,00$ | 4,54% | — | 0,000% | |||
LU2084128094 | 85,77CHF | 4,14% | — | 0,500% | |||
LU2084127955 | 95,47CHF | 4,13% | — | 0,500% | |||
LU2114973949 | 95,93$ | 4,04% | — | 0,500% | |||
LU2084127369 | 91,42$ | 4,04% | — | 0,500% | |||
LU2114975050 | 90,26CHF | 4,04% | — | 0,500% | |||
LU2114933216 | 91,72£ | 4,04% | — | 0,000% | |||
LU2114933059 | 101,59£ | 4,03% | — | 0,000% | |||
LU2196479724 | 106,84$ | 4,03% | — | 1,000% | |||
LU2107321288 | 94,95CHF | 4,02% | — | 0,500% | |||
LU2084127286 | 101,61$ | 3,99% | — | 0,500% | |||
LU2107320801 | 101,01$ | 3,98% | — | 0,500% | |||
LU2084127872 | 89,70£ | 3,52% | — | 0,500% | |||
LU2084127799 | 99,99£ | 3,51% | — | 0,500% | |||
LU2114932242 | 90,18$ | 3,47% | — | 1,000% | |||
LU2114932085 | 99,70$ | 3,43% | — | 1,000% | |||
LU2114974756 | 94,34£ | 3,43% | — | 0,500% | |||
LU2114974673 | 104,34£ | 3,43% | — | 0,500% | |||
LU2114933307 | 93,80CHF | 3,41% | — | 1,000% | |||
LU2114933562 | 84,75CHF | 3,41% | — | 1,000% | |||
LU2114973782 | 102,93$ | 3,03% | — | 1,000% | |||
LU2114973865 | 93,13$ | 3,03% | — | 1,000% | |||
LU2114974913 | 87,51CHF | 2,99% | — | 1,000% | |||
LU2114974830 | 96,68CHF | 2,97% | — | 1,000% | |||
LU2114932911 | 98,00£ | 2,82% | — | 1,000% | |||
LU2114933133 | 88,45£ | 2,82% | — | 1,000% | |||
LU2114932838 | 88,92€ | 2,71% | 5.000.000€ | 0,000% | |||
LU2114932671 | 98,40€ | 2,70% | 5.000.000€ | 0,000% | |||
LU2114974590 | 91,48£ | 2,39% | — | 1,000% | |||
LU2114974327 | 101,07£ | 2,34% | — | 1,000% | |||
LU2084127526 | 86,78€ | 2,21% | 100.000.000€ | 0,500% | |||
LU2084127443 | 96,60€ | 2,19% | 100.000.000€ | 0,500% | |||
LU2114974244 | 91,35€ | 2,11% | 1.000€ | 0,500% | |||
LU2107321015 | 95,67€ | 1,94% | 1.000€ | 0,500% | |||
LU2114932754 | 85,73€ | 1,51% | 1.000€ | 1,000% | |||
LU2114932598 | 94,82€ | 1,47% | 1.000€ | 1,000% | |||
LU2114974160 | 88,58€ | 1,08% | 1.000€ | 1,000% | |||
LU2114974087 | 97,90€ | 1,07% | 1.000€ | 1,000% | |||
LU2107321106 | 83,64€ | 0,99% | 1.000€ | 1,000% | |||
LU2107320983 | 92,84€ | 0,98% | 1.000€ | 1,000% | |||
LU2305366945 | 1.029,37kr | — | — | 0,500% | |||
LU2196480060 | 102,69€ | — | 25.000.000€ | 1,000% | |||
LU2196479997 | 102,23€ | — | 0€ | 1,500% | |||
LU2196479641 | 106,59$ | — | — | 1,500% | |||
LU2196480144 | 95,72£ | — | — | 1,500% | |||
LU2196480227 | 96,18£ | — | — | 1,000% |
*Rentabilidad anualizada
Información
The Fund aims to provide income and capital growth of ICE BofA 3 Month US Treasury Bill Index +3.5% before fees have been deducted* over a three to five year period by investing in securitised assets issued by entities worldwide. The Fund is actively managed and invests at least two-thirds of its assets in fixed and floating rate securitised investments including, but not limited to, asset-backed securities (ABS), agency and non-agency residential mortgage-backed securities (MBS) including forward-settling securities such as to be announced (TBA) trades, commercial mortgage-backed securities (CMBS), collateralised loan obligations (CLOs) and credit risk transfer securities (CRTs). Underlying assets of the asset-backed securities may include credit card receivables, personal loans, auto loans, transportation finance and small business loans.