The investment objective of the Fund is to achieve a combination of income and growth by investing in debt securities. Investment Policy The Fund aims to achieve its investment objective by investing primarily (and at all times at least 67% of its Net Asset Value (NAV)) in debt securities and debt-related securities issued by corporate issuers (including government-owned corporate issuers) with their registered office or principal place of business in an emerging market and/or which carry out the preponderance of their business activities (as determined by the Investment Manager) in an emerging market, and/or by holding companies that have the preponderance of their assets invested in corporations with their registered office in an emerging market and/or by holding companies that carry out a preponderance of their business activities (as determined by the Investment Manager) in an emerging market as at the date of investment (together, “Emerging Market Corporate Issuers”).
Total Expense Ratio (Verwaltungsgebühren & sonst. Kosten)
1,60%
Transaktionskosten
0,04%
Depotbankgebühr
-
Managementgebühr
1,52%
Rücknahmegebühr
3,00%
Ausgabeaufschlag
5,00%
Performancedaten
Veränderung Vortag
-0,04
WE seit Jahresbeginn
1,03%
Information
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