Aegon Strategic Bond Fund GBP B Acc
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General Objective
The fund aims to provide a combination of income and capital growth over any 7-year period.
Fund Exposure
At least 80% of the Fund will be invested in a diverse portfolio of corporate bonds and government and public securities issued anywhere in the world and denominated in any currency. The Fund may invest in high yield bonds and emerging market bonds, seeking diversification across individual issuers, geographies, and sectors.
Risks
The Fund is actively managed, with the investment manager adjusting credit exposure and duration based on prevailing economic and market conditions. Derivatives may be used for investment purposes and efficient portfolio management, including hedging to reduce currency risk. Non-Sterling exposure may be hedged back to Sterling, but the Fund is permitted to take active non-Sterling exposure.