Amundi Funds - Euro Corporate ESG Bond I EUR (C)
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General Objective
The Sub-Fund aims to achieve a combination of income and capital growth (total return) by investing at least 67% of assets in investment-grade bonds denominated in euro issued by governments in the Eurozone or companies listed on a European market.
Fund Exposure
The Sub-Fund is mainly exposed to issuers of the Bloomberg Euro-Agg Corporates (E) Index, but the management is discretionary and may deviate significantly from the Benchmark. The investment process integrates Sustainability Factors and seeks to outperform the Benchmark by analyzing interest rate and economic trends to identify sectors and securities for a diversified portfolio.
Risks
The Sub-Fund is subject to credit risk, liquidity risk, counterparty risk, and operational risk associated with investments in corporate bonds denominated in Euro. The historical data may not be a reliable indicator of future performance, and the lowest risk category does not mean 'risk-free'.