Allianz Global Multi Sector Credit Fund W GBP Inc
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General Objective
The Fund aims to generate capital growth and income by outperforming the SONIA by at least 3% per year over a rolling four year period, with a focus on global credit bonds markets.
Fund Exposure
The Fund invests up to 100% of its assets globally in global credit bonds markets, with a minimum of 25% in investment grade bonds and a maximum of 75% in high yield bonds. It may also invest in Government and public securities from select countries, ABS and/or MBS, debt securities, contingent convertible bonds, and use derivatives for efficient portfolio management and hedging purposes.
Risks
Investors should be aware that the Fund's capital is at risk and there is no guarantee that it will achieve its investment objective over any particular period. The Fund may also invest in derivatives, non-investment grade securities, and emerging markets, which carry additional risks. It is recommended for investors with advanced knowledge and/or experience of financial products, and may not be suitable for those planning to withdraw their money within 4 years.