Positioning in the product range Obligations » Zone euro
AMF Classification Autre
Share class denomination IC
ISIN Code LU1151777965
Legal nature Compartiment
Applied NAV per share at 02/14/2022 1,002.40 EUR
Valuation frequency Quotidien
Net asset part at 02/14/2022 1,002,406.89 EUR
Net asset fund at 02/14/2022 84,044,551.30 EUR
Benchmark ICE BofA BB-B Euro High Yield constrained
Date of agreement 12/16/2010
Recommended investment horizon 3 ans

Level of risk (SRI) *

  • Low
  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7
  • High

Investment strategy

Le produit a vocation à être investi totalement (jusqu’à 100% de son actif net) dans des titres et notamment dans des obligations à taux fixes ou flottants de qualité high yield. Sont considérés de qualité high yield tous les titres dont une des notations est en dessous de BBB- perspective... Read more

* Based on asset class and fund's charateristics.
From 1 January 2023, European regulations (PRIIPs) strengthen investor protection. It provides for the delivery or availability of a key information document (KID PRIIPS) by Groupama AM for individuals. This new document replaces the UCIT KIID.
One of the characteristics of this regulation, which will now appear in the KID, is the definition of a new synthetic risk indicator (SRI) instead of the SRRI in the KIID.
SRI is the new global indicator of the risk level of the product resulting from the combination of two risks: market risk and credit risk (while the former SRRI indicator was based solely on market risk)

These documents are published for information purposes only.

Groupama Asset Management takes no responsibility for information that may be incorrect.

Past performances are not indicators of future results.

Funds search

Funds search

Calculate your funds performance