Amundi Funds - Emerging Markets Bond I2 GBP Hgd QD (D)
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General Objective
The fund seeks to achieve capital appreciation and income over the medium to long-term by investing primarily in a diversified portfolio of U.S. dollar and other OECD denominated debt and debt-related instruments issued by companies incorporated, headquartered, or having their principal business activities in Emerging Markets or debt and debt-related instruments where the credit risk of such instruments is linked to Emerging Markets.
Fund Exposure
The fund is exposed to a variety of asset classes, including corporate, government, convertible, agency, asset-backed, and supranational bonds. The top 10 holdings include issuers such as Turkey Government Bond, Petroleos de Venezuela SA, and Evergrande Real Estate Group Ltd. The fund also has exposure to various currencies such as US Dollar, Euros, and Brazilian Real, among others.
Risks
The fund carries risks associated with investing in Emerging Markets, including credit risk, currency risk, and market volatility. Additionally, the fund's exposure to Emerging Markets currencies is limited to 25% of the fund's assets, which may impact returns and performance.